Recent Annual Filings for VRTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,533,200,000 $11,020,100,000 $11,253,000,000 $-393,500,000 $-492,600,000 $-1,494,900,000 $-5,800,100,000
2023 $22,730,200,000 $9,869,200,000 $6,037,200,000 $3,604,500,000 $3,537,300,000 $-562,200,000 $-139,700,000
2022 $18,150,900,000 $8,930,700,000 $4,623,300,000 $3,306,900,000 $4,129,900,000 $-67,700,000 $3,711,900,000
2021 $13,432,500,000 $7,574,400,000 $4,792,300,000 $2,426,500,000 $2,643,500,000 $-1,478,000,000 $811,200,000
2020 $11,751,808,000 $6,205,683,000 $3,349,393,000 $2,645,140,000 $3,253,505,000 $-505,281,000 $2,868,164,000
2019 $8,318,465,000 $4,162,821,000 $2,965,255,000 $1,174,178,000 $1,569,330,000 $126,773,000 $462,428,000
2018 $6,245,898,000 $3,047,597,000 $2,412,447,000 $2,123,454,000 $1,270,286,000 $-71,219,000 $990,727,000
2017 $3,546,014,000 $2,488,652,000 $2,365,409,000 $58,890,000 $844,942,000 $68,404,000 $481,467,000