Recent Annual Filings for VKTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $908,321,000 $-110,362,000 $-87,790,000 $612,464,000 $-28,692,000
2023 $368,490,000 $-85,182,000 $-73,376,000 $271,376,000 $18,914,000
2022 $168,529,000 $-69,420,000 $-48,397,000 $4,163,000 $10,519,000
2021 $210,662,000 $-55,485,000 $-47,586,000 $6,880,000 $-2,746,000
2020 $256,502,000 $-39,561,000 $-21,777,000 $950,000 $20,740,000
2019 $284,256,000 $-25,344,000 $-24,752,000 $887,000 $-16,402,000
2018 $302,312,000 $-22,466,000 $-18,755,000 $300,275,000 $15,791,000
2017 $22,121,411 $-20,590,542 $-14,757,767 $22,400,450 $5,912,976