Recent Annual Filings for QTRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $406,533,000 $137,421,000 $175,518,000 $-39,939,000 $-35,164,000 $456,000 $-117,707,000
2023 $425,011,000 $122,368,000 $153,983,000 $-31,468,000 $-18,902,000 $2,691,000 $-164,311,000
2022 $434,199,000 $105,522,000 $202,157,000 $-99,764,000 $-48,272,000 $2,311,000 $-57,705,000
2021 $501,527,000 $110,556,000 $168,280,000 $-59,681,000 $-47,907,000 $270,795,000 $216,458,000
2020 $271,045,000 $86,377,000 $118,283,000 $-28,943,000 $-23,365,000 $96,236,000 $72,403,000
2019 $169,951,000 $56,734,000 $97,717,000 $-40,949,000 $-26,187,000 $116,197,000 $64,752,000
2018 $67,611,000 $37,632,000 $69,143,000 $-31,536,000 $-28,721,000 $-78,000 $-34,253,000