Recent Annual Filings for RAPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $240,325,000 $-129,918,000 $-83,297,000 $152,852,000 $122,257,000
2023 $173,329,000 $-116,669,000 $-97,048,000 $1,447,000 $8,532,000
2022 $266,209,000 $1,527,000 $85,365,000 $-83,658,000 $-70,771,000 $131,180,000 $14,919,000
2021 $198,636,000 $3,813,000 $73,017,000 $-69,233,000 $-61,026,000 $141,482,000 $-891,000
2020 $118,969,000 $5,042,000 $56,944,000 $-53,089,000 $-40,491,000 $75,461,000 $-52,465,000
2019 $84,602,000 $-42,973,000 $-35,474,000 $49,902,000 $13,585,000