Recent Annual Filings for LPTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $49,124,000 $-67,781,000 $-60,299,000 $37,184,000 $279,000
2023 $72,825,000 $-81,436,000 $-43,753,000 $-30,000 $5,143,000
2022 $70,353,000 $-54,201,000 $-49,044,000 $-210,000 $162,000
2021 $117,911,000 $1,500,000 $42,111,000 $-40,275,000 $-35,157,000 $98,035,000 $33,000
2020 $54,371,000 $1,500,000 $29,016,000 $-28,169,000 $-25,957,000 $73,997,000 $48,180,000
2019 $7,448,000 $-33,126,000 $-26,902,000 $14,817,000 $-12,393,000
2018 $19,074,000 $-22,568,000 $-26,033,000 $15,906,000 $-674,000
2017 $29,062,000 $-30,289,000 $-22,137,000 $47,763,000 $24,944,000