Recent Annual Filings for SGMO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $101,635,000 $57,800,000 $155,908,000 $-100,876,000 $-67,139,000 $28,377,000 $-3,286,000
2023 $165,320,000 $176,232,000 $439,135,000 $-254,022,000 $-224,842,000 $14,588,000 $-55,240,000
2022 $562,509,000 $111,299,000 $303,148,000 $-196,695,000 $-223,627,000 $84,660,000 $-78,428,000
2021 $721,923,000 $110,701,000 $288,692,000 $-187,703,000 $-233,251,000 $32,858,000 $47,543,000
2020 $938,550,000 $118,192,000 $238,969,000 $-113,254,000 $169,875,000 $153,100,000 $50,901,000
2019 $637,516,000 $102,428,000 $197,847,000 $-96,428,000 $-144,402,000 $142,029,000 $-61,990,000
2018 $590,395,000 $84,452,000 $153,341,000 $-70,062,000 $37,152,000 $231,709,000 $90,755,000
2017 $286,741,000 $36,567,000 $91,135,000 $-54,874,000 $11,179,000 $97,490,000 $27,765,000