Recent Annual Filings for MGNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $261,655,000 $149,962,000 $260,540,000 $-66,956,000 $-68,373,000 $960,000 $81,884,000
2023 $298,418,000 $58,749,000 $226,993,000 $-9,059,000 $-78,205,000 $150,361,000 $-7,928,000
2022 $280,468,000 $151,941,000 $273,359,000 $-119,702,000 $-86,959,000 $1,659,000 $-14,585,000
2021 $335,245,000 $77,447,000 $280,242,000 $-202,169,000 $-143,830,000 $122,777,000 $-57,662,000
2020 $378,743,000 $104,883,000 $235,943,000 $-129,762,000 $-111,898,000 $174,342,000 $54,659,000
2019 $312,501,000 $64,188,000 $241,373,000 $-151,792,000 $-134,270,000 $119,972,000 $-93,656,000
2018 $332,130,000 $60,121,000 $231,327,000 $-171,453,000 $-153,234,000 $104,991,000 $8,401,000
2017 $373,883,000 $157,742,000 $179,885,000 $-19,626,000 $14,405,000 $35,348,000 $127,629,000