Recent Annual Filings for PACB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,260,447,000 $154,014,000 $463,549,000 $-309,648,000 $-206,058,000 $-42,987,000 $-125,041,000
2023 $1,746,013,000 $200,521,000 $518,680,000 $-301,751,000 $-259,173,000 $108,891,000 $-145,678,000
2022 $1,767,086,000 $128,304,000 $442,552,000 $-317,926,000 $-263,211,000 $9,622,000 $-137,506,000
2021 $2,006,970,000 $130,513,000 $405,385,000 $-182,395,000 $-111,180,000 $1,169,581,000 $379,870,000
2020 $413,980,000 $78,893,000 $183,278,000 $29,483,000 $19,503,000 $251,839,000 $52,020,000
2019 $147,985,000 $90,891,000 $191,436,000 $-84,093,000 $-78,312,000 $26,548,000 $10,283,000
2018 $170,275,000 $78,626,000 $179,613,000 $-102,566,000 $-66,430,000 $107,182,000 $2,337,000
2017 $144,084,000 $93,468,000 $183,252,000 $-92,226,000 $-67,518,000 $68,809,000 $-258,000