Recent Annual Filings for RARE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,491,013,000 $434,249,000 $1,042,713,000 $-599,419,000 $-474,806,000 $388,142,000 $81,336,000
2022 $1,545,444,000 $363,329,000 $1,065,054,000 $-712,590,000 $-380,465,000 $501,208,000 $-170,909,000
2021 $1,522,397,000 $351,406,000 $804,387,000 $-456,118,000 $-338,695,000 $118,552,000 $-415,515,000
2020 $1,759,555,000 $271,030,000 $456,389,000 $-185,730,000 $-132,220,000 $600,272,000 $288,931,000
2019 $1,135,496,000 $103,714,000 $503,158,000 $-402,241,000 $-345,383,000 $679,306,000 $320,884,000
2018 $719,558,000 $51,495,000 $248,592,000 $-192,564,000 $-290,566,000 $336,853,000 $12,956,000
2017 $490,753,000 $2,612,000 $320,950,000 $-308,724,000 $-253,843,000 $136,267,000 $-60,632,000
2016 $540,626,000 $133,000 $245,972,000 $-244,101,000 $-160,975,000 $138,676,000 $67,551,000