Recent Annual Filings for MGTX
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$269,751,000 |
$33,279,000 |
$181,070,000 |
$-150,075,000 |
$-104,495,000 |
$54,534,000 |
$-24,981,000 |
2023 |
$326,744,000 |
$14,017,000 |
$151,078,000 |
$-91,509,000 |
$-105,365,000 |
$84,023,000 |
$15,133,000 |
2022 |
$318,237,000 |
$15,920,000 |
$145,536,000 |
$-120,897,000 |
$-73,098,000 |
$95,200,000 |
$-22,187,000 |
2021 |
$320,164,000 |
$37,701,000 |
$117,262,000 |
$-77,335,000 |
$-10,530,000 |
$1,708,000 |
$-71,817,000 |
2020 |
$363,697,400 |
$15,562,985 |
$73,554,989 |
$-61,094,868 |
$-63,967,799 |
$82,727,383 |
$-17,836,405 |
2019 |
$323,887,646 |
$13,291,956 |
$68,038,191 |
$-56,833,943 |
$20,044,897 |
$148,234,904 |
$159,153,209 |
2018 |
$96,894,763 |
— |
— |
$-80,549,731 |
$-58,887,870 |
$130,040,415 |
$59,531,537 |