Recent Annual Filings for SRPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,963,173,000 $1,901,979,000 $1,683,898,000 $234,103,000 $-205,787,000 $124,806,000 $674,580,000
2023 $3,264,576,000 $1,243,336,000 $1,511,160,000 $-533,395,000 $-500,993,000 $125,004,000 $-541,792,000
2022 $3,128,366,000 $933,013,000 $1,469,214,000 $-705,132,000 $-325,346,000 $232,507,000 $-1,139,722,000
2021 $3,147,974,000 $701,887,000 $1,161,597,000 $-418,803,000 $-443,172,000 $561,569,000 $613,810,000
2020 $2,984,718,000 $540,099,000 $1,104,262,000 $-554,175,000 $107,466,000 $682,323,000 $668,068,000
2019 $1,822,822,000 $380,833,000 $1,086,396,000 $-714,926,000 $-456,463,000 $642,554,000 $472,816,000
2018 $1,642,075,000 $301,034,000 $644,662,000 $-361,638,000 $-388,660,000 $530,150,000 $-228,998,000
2017 $1,307,964,000 $154,584,000 $326,222,000 $-50,947,000 $-231,996,000 $888,082,000 $477,271,000