Recent Annual Filings for PTCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,895,698,000 $937,822,000 $1,633,932,000 $-632,685,000 $-158,418,000 $646,400,000 $311,245,000
2022 $1,705,619,000 $698,801,000 $1,286,288,000 $-529,939,000 $-356,654,000 $167,952,000 $101,479,000
2021 $1,938,056,000 $538,593,000 $1,056,933,000 $-487,226,000 $-251,332,000 $20,877,000 $-19,094,000
2020 $2,208,278,000 $380,766,000 $783,698,000 $-488,533,000 $-194,071,000 $668,715,000 $-79,216,000
2019 $1,623,782,000 $306,980,000 $546,906,000 $-263,622,000 $-98,639,000 $613,209,000 $126,030,000
2018 $1,119,222,000 $264,734,000 $392,844,000 $-130,588,000 $-27,641,000 $131,571,000 $57,706,000
2017 $391,653,000 $194,392,000 $272,057,000 $-73,546,000 $-10,063,000 $44,218,000 $53,471,000
2016 $269,345,000 $82,705,000 $224,246,000 $-142,395,000 $-103,566,000 $968,000 $299,000