Recent Annual Filings for QURE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $831,689,000 $15,843,000 $303,083,000 $-303,740,000 $-145,929,000 $362,721,000 $13,371,000
2022 $704,964,000 $106,483,000 $255,993,000 $-156,224,000 $-145,060,000 $1,445,000 $-328,180,000
2021 $809,180,000 $524,002,000 $224,814,000 $290,826,000 $287,959,000 $94,858,000 $311,673,000
2020 $340,395,000 $37,514,000 $164,980,000 $-108,428,000 $-134,828,000 $7,444,000 $-133,046,000
2019 $448,630,000 $7,281,000 $128,281,000 $-123,631,000 $-98,684,000 $248,821,000 $143,384,000
2018 $273,906,000 $11,284,000 $94,357,000 $-88,565,000 $-76,037,000 $157,961,000 $75,492,000
2017 $209,644,000 $13,107,000 $92,566,000 $-76,503,000 $-64,270,000 $90,074,000 $20,221,000
2016 $190,265,000 $25,098,000 $97,327,000 $-73,103,000 $-72,189,000 $2,445,000 $-89,130,000