Recent Annual Filings for TWST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $614,323,000 $312,974,000 $533,805,000 $-208,492,000 $-64,094,000 $6,890,000 $-60,149,000
2023 $776,403,000 $245,109,000 $462,268,000 $-203,531,000 $-142,474,000 $911,000 $-90,978,000
2022 $961,378,000 $203,565,000 $438,341,000 $-220,252,000 $-124,385,000 $270,534,000 $-87,100,000
2021 $702,097,000 $132,333,000 $285,059,000 $-151,639,000 $-112,244,000 $329,182,000 $373,113,000
2020 $398,882,000 $90,100,000 $230,179,000 $-140,025,000 $-142,255,000 $303,732,000 $46,848,000
2019 $186,994,000 $54,385,000 $163,235,000 $-107,575,000 $-87,937,000 $158,578,000 $-34,139,000