Recent Annual Filings for TVTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $788,913,000 $145,238,000 $533,376,000 $-109,948,000 $-280,021,000 $218,752,000 $-3,512,000
2022 $672,585,000 $212,018,000 $478,584,000 $-280,827,000 $-186,291,000 $117,573,000 $-104,065,000
2021 $776,633,000 $227,490,000 $389,255,000 $-179,751,000 $-14,792,000 $231,683,000 $80,981,000
2020 $607,439,000 $198,321,000 $374,484,000 $-171,059,000 $-42,743,000 $127,713,000 $22,336,000