Recent Annual Filings for MNKD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $393,843,000 $285,504,000 $212,917,000 $28,697,000 $42,511,000 $-137,266,000 $-191,404,000
2023 $475,198,000 $198,962,000 $190,284,000 $-11,938,000 $34,094,000 $136,607,000 $168,713,000
2022 $295,282,000 $99,770,000 $163,880,000 $-87,400,000 $-80,679,000 $21,388,000 $-54,417,000
2021 $321,161,000 $75,442,000 $122,464,000 $-80,926,000 $-61,709,000 $270,267,000 $57,021,000
2020 $108,608,000 $65,144,000 $113,057,000 $-57,259,000 $-28,128,000 $49,853,000 $36,941,000
2019 $93,725,000 $63,038,000 $107,635,000 $-51,903,000 $-88,483,000 $69,864,000 $-41,462,000
2018 $107,705,000 $27,859,000 $104,454,000 $-86,976,000 $-37,731,000 $61,294,000 $23,329,000
2017 $84,575,000 $11,745,000 $119,934,000 $-117,327,000 $-64,778,000 $73,563,000 $25,460,000