Recent Annual Filings for URGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $285,711,000 $90,398,000 $214,440,000 $-126,830,000 $-96,766,000 $194,619,000 $77,240,000
2023 $178,311,000 $82,713,000 $181,037,000 $-102,125,000 $-76,376,000 $116,931,000 $39,602,000
2022 $135,619,000 $64,357,000 $172,385,000 $-109,865,000 $-87,559,000 $97,134,000 $10,635,000
2021 $119,746,000 $48,042,000 $157,413,000 $-111,116,000 $-84,892,000 $72,319,000 $-8,504,000
2020 $122,005,000 $11,799,000 $136,909,000 $-128,489,000 $-105,886,000 $16,527,000 $3,879,000
2019 $202,388,000 $18,000 $105,164,000 $-104,870,000 $-71,017,000 $165,250,000 $-51,360,000
2018 $103,559,000 $1,128,000 $76,660,000 $-75,657,000 $-37,334,000 $66,421,000 $64,374,000