Recent Annual Filings for RIGL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $163,976,000 $179,278,000 $155,086,000 $17,487,000 $31,471,000 $-11,641,000 $23,960,000
2023 $117,225,000 $116,882,000 $137,373,000 $-24,930,000 $-5,743,000 $18,367,000 $8,327,000
2022 $134,279,000 $120,242,000 $175,792,000 $-58,624,000 $-73,758,000 $6,550,000 $5,569,000
2021 $167,328,000 $149,236,000 $161,732,000 $-18,012,000 $5,878,000 $62,675,000 $-11,483,000
2020 $110,378,000 $108,621,000 $137,594,000 $-29,771,000 $-52,185,000 $12,571,000 $7,852,000
2019 $147,569,000 $59,288,000 $128,379,000 $-66,847,000 $-41,510,000 $11,365,000 $-53,801,000
2018 $139,109,000 $44,509,000 $117,192,000 $-70,422,000 $-58,826,000 $71,894,000 $38,032,000
2017 $119,111,000 $4,484,000 $84,100,000 $-78,056,000 $-77,557,000 $117,688,000 $20,658,000