Recent Annual Filings for RXRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,448,598,000 $58,839,000 $537,843,000 $-471,298,000 $-359,174,000 $304,120,000 $201,599,000
2023 $653,699,000 $44,575,000 $394,635,000 $-328,066,000 $-287,780,000 $140,133,000 $-157,687,000
2022 $701,288,000 $39,843,000 $285,570,000 $-239,350,000 $-83,524,000 $154,345,000 $263,763,000
2021 $610,345,000 $10,178,000 $192,953,000 $-186,605,000 $-158,614,000 $458,540,000 $28,182,000