Recent Annual Filings for NTLA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,300,977,000 $36,275,000 $551,566,000 $-475,989,000 $-394,086,000 $130,323,000 $-295,110,000
2022 $1,520,114,000 $52,121,000 $510,285,000 $-479,015,000 $-333,287,000 $582,955,000 $409,977,000
2021 $1,294,464,000 $33,053,000 $300,903,000 $-270,525,000 $-225,030,000 $736,688,000 $-39,120,000
2020 $676,322,000 $57,994,000 $194,577,000 $-134,491,000 $-49,912,000 $371,779,000 $107,380,000
2019 $334,280,000 $43,103,000 $149,471,000 $-99,244,000 $-103,240,000 $76,434,000 $-1,630,000
2018 $347,315,000 $30,434,000 $121,304,000 $-85,371,000 $-61,257,000 $40,217,000 $-281,822,000
2017 $376,235,000 $26,117,000 $95,672,000 $-67,543,000 $-65,276,000 $142,981,000 $67,614,000
2016 $298,969,000 $16,479,000 $48,638,000 $-31,634,000 $36,109,000 $167,304,000 $197,248,000