Recent Annual Filings for RGNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $465,989,000 $83,328,000 $316,674,000 $-223,414,000 $-173,125,000 $92,683,000 $23,004,000
2023 $573,970,000 $90,242,000 $358,370,000 $-252,522,000 $-218,407,000 $-34,966,000 $-62,430,000
2022 $833,268,000 $112,724,000 $375,600,000 $-293,153,000 $-207,488,000 $-28,840,000 $-248,257,000
2021 $1,113,904,000 $470,347,000 $310,367,000 $125,631,000 $218,875,000 $195,250,000 $7,483,000
2020 $708,164,000 $154,567,000 $273,800,000 $-111,815,000 $-54,061,000 $200,214,000 $268,912,000
2019 $497,908,000 $35,233,000 $184,231,000 $-93,848,000 $-107,705,000 $8,376,000 $-5,770,000
2018 $543,814,000 $218,505,000 $130,405,000 $99,932,000 $104,648,000 $204,443,000 $29,733,000
2017 $198,677,000 $10,393,000 $86,278,000 $-73,851,000 $-57,992,000 $84,598,000 $21,816,000