Recent Annual Filings for NBIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,251,400,000 $1,887,100,000 $1,636,200,000 $264,600,000 $389,900,000 $65,300,000 $-11,600,000
2022 $2,368,700,000 $1,488,700,000 $1,239,700,000 $148,300,000 $339,400,000 $-234,300,000 $-73,300,000
2021 $2,072,500,000 $1,133,500,000 $1,032,100,000 $86,100,000 $256,500,000 $27,400,000 $153,700,000
2020 $1,734,700,000 $1,045,900,000 $939,200,000 $407,700,000 $228,500,000 $-157,800,000 $74,800,000
2019 $1,306,040,000 $788,087,000 $741,545,000 $40,357,000 $152,054,000 $27,313,000 $-31,706,000
2018 $993,151,000 $451,240,000 $429,399,000 $21,029,000 $101,364,000 $29,530,000 $-112,021,000
2017 $817,591,000 $161,626,000 $292,987,000 $-144,074,000 $-94,331,000 $516,646,000 $171,445,000
2016 $365,086,000 $15,000,000 $162,372,000 $-140,431,000 $-106,181,000 $2,390,000 $9,072,000