Recent Annual Filings for TSHA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $160,364,000 $8,333,000 $97,631,000 $-93,329,000 $-81,225,000 $76,684,000 $-4,904,000
2023 $172,731,000 $15,451,000 $127,017,000 $-111,566,000 $-73,018,000 $136,393,000 $56,023,000
2022 $126,276,000 $2,502,000 $168,516,000 $-166,014,000 $-88,390,000 $52,097,000 $-61,223,000
2021 $213,956,000 $-174,523,000 $-117,042,000 $39,083,000 $-99,513,000
2020 $258,881,000 $-60,011,000 $-30,729,000 $291,064,000 $251,253,000