Recent Annual Filings for UTHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,364,000,000 $2,877,400,000 $1,500,400,000 $1,204,500,000 $1,327,100,000 $-1,254,800,000 $489,500,000
2023 $7,167,000,000 $2,327,500,000 $1,142,600,000 $1,027,500,000 $978,000,000 $-11,900,000 $246,500,000
2022 $6,044,500,000 $1,936,300,000 $956,600,000 $694,800,000 $802,500,000 $75,400,000 $66,400,000
2021 $5,169,100,000 $1,685,500,000 $1,129,600,000 $467,000,000 $598,200,000 $44,800,000 $156,100,000
2020 $4,615,000,000 $1,483,300,000 $889,700,000 $514,800,000 $755,700,000 $-16,900,000 $300,000
2019 $3,913,400,000 $1,448,800,000 $1,636,400,000 $-110,800,000 $-206,600,000 $611,200,000 $69,200,000
2018 $3,401,000,000 $1,627,800,000 $822,400,000 $600,900,000 $778,400,000 $6,300,000 $-35,900,000
2017 $2,879,400,000 $1,725,300,000 $910,400,000 $415,100,000 $474,200,000 $43,300,000 $-317,900,000