Recent Annual Filings for TCRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $371,118,000 $2,816,000 $130,315,000 $-127,448,000 $-110,822,000 $208,765,000 $45,330,000
2023 $272,149,000 $21,049,000 $110,267,000 $-89,218,000 $-61,358,000 $135,443,000 $13,326,000
2022 $199,091,000 $13,535,000 $79,756,000 $-66,221,000 $-66,503,000 $29,356,000 $-41,372,000
2021 $188,107,000 $10,141,000 $58,766,000 $-48,625,000 $-48,677,000 $189,668,000 $131,050,000