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