Recent Annual Filings for LXRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $298,420,000 $31,081,000 $228,198,000 $-200,315,000 $-178,780,000 $238,349,000 $44,191,000
2023 $229,429,000 $1,204,000 $172,954,000 $-176,660,000 $-161,897,000 $187,960,000 $-23,880,000
2022 $194,299,000 $139,000 $102,083,000 $-102,362,000 $-88,851,000 $142,209,000 $-17,720,000
2021 $136,909,000 $298,000 $88,056,000 $-87,762,000 $-87,017,000 $22,709,000 $-62,198,000
2020 $203,788,000 $23,995,000 $82,569,000 $-58,664,000 $-142,969,000 $-147,636,000 $90,151,000
2019 $417,715,000 $322,073,000 $197,954,000 $130,229,000 $113,807,000 $-2,226,000 $-44,274,000
2018 $284,136,000 $63,209,000 $183,757,000 $-120,338,000 $-148,607,000 $-2,244,000 $18,725,000
2017 $436,539,000 $90,335,000 $232,046,000 $-129,077,000 $-185,394,000 $149,933,000 $15,061,000