Recent Annual Filings for VYNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $66,905,000 $501,000 $44,138,000 $-39,840,000 $-33,972,000 $-141,000 $-10,748,000
2023 $97,685,000 $424,000 $29,682,000 $-28,426,000 $-25,341,000 $82,394,000 $-301,000
2022 $40,758,000 $477,000 $34,772,000 $-23,210,000 $-29,200,000 $1,653,000 $-11,880,000
2021 $67,046,000 $14,755,000 $79,439,000 $-73,329,000 $-56,367,000 $39,777,000 $-15,563,000
2020 $93,742,000 $20,993,000 $272,147,000 $-255,573,000 $-137,082,000 $61,808,000 $13,834,000