Recent Annual Filings for PCVX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,511,318,000 $-467,979,000 $-452,627,000 $2,448,508,000 $-9,359,000
2023 $1,407,917,000 $-401,726,000 $-296,790,000 $639,813,000 $-436,974,000
2022 $1,006,178,000 $-223,605,000 $-170,597,000 $861,547,000 $765,672,000
2021 $324,337,000 $-100,318,000 $-121,393,000 $17,796,000 $-316,344,000
2020 $392,826,000 $-89,217,000 $-46,628,000 $374,870,000 $327,224,000