Recent Annual Filings for NKTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $303,850,000 $98,427,000 $203,625,000 $-118,980,000 $-175,709,000 $42,118,000 $8,975,000
2023 $398,033,000 $90,122,000 $353,806,000 $-269,069,000 $-192,606,000 $30,000 $-52,950,000
2022 $710,600,000 $92,055,000 $468,221,000 $-370,948,000 $-304,007,000 $1,508,000 $63,009,000
2021 $1,117,189,000 $101,907,000 $548,010,000 $-525,699,000 $-412,660,000 $36,238,000 $-173,737,000
2020 $1,538,767,000 $152,915,000 $578,026,000 $-445,730,000 $-313,287,000 $-80,354,000 $102,592,000
2019 $1,977,356,000 $114,617,000 $554,652,000 $-435,356,000 $-328,681,000 $23,355,000 $-98,542,000
2018 $2,150,172,000 $1,193,323,000 $505,391,000 $677,108,000 $718,214,000 $851,966,000 $190,244,000
2017 $508,866,000 $307,711,000 $367,353,000 $-96,440,000 $-80,414,000 $54,391,000 $-54,878,000