Recent Annual Filings for TGTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $577,690,000 $329,004,000 $287,075,000 $23,383,000 $-40,517,000 $128,527,000 $86,974,000
2023 $329,587,000 $233,662,000 $213,029,000 $12,672,000 $-31,413,000 $72,705,000 $-9,359,000
2022 $193,572,000 $2,785,000 $201,120,000 $-198,335,000 $-176,170,000 $-391,000 $-196,574,000
2021 $379,629,000 $6,689,000 $354,790,000 $-348,101,000 $-295,634,000 $41,419,000 $-254,547,000
2020 $625,642,000 $152,000 $279,533,000 $-279,381,000 $-214,507,000 $679,827,000 $440,810,000
2019 $163,014,000 $152,000 $173,023,000 $-172,871,000 $-132,806,000 $204,213,000 $70,689,000
2018 $83,616,000 $152,000 $173,634,000 $-173,482,000 $-128,925,000 $113,639,000 $-14,106,000
2017 $97,381,536 $152,381 $118,628,393 $-118,476,012 $-93,763,562 $133,658,626 $31,686,567