Recent Annual Filings for SDGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $823,226,000 $207,539,000 $393,250,000 $-187,184,000 $-157,368,000 $10,123,000 $1,591,000
2023 $802,955,000 $216,666,000 $173,747,000 $43,383,000 $-136,733,000 $9,048,000 $65,349,000
2022 $688,587,000 $180,955,000 $330,081,000 $-150,917,000 $-119,683,000 $2,110,000 $-27,550,000
2021 $756,487,000 $137,931,000 $238,739,000 $-101,361,000 $-70,669,000 $7,952,000 $-79,529,000
2020 $746,263,000 $108,095,000 $134,387,000 $-24,162,000 $16,757,000 $541,274,000 $176,310,000