Recent Annual Filings for XNCR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $952,692,000 $168,338,000 $288,777,000 $-118,007,000 $85,111,000 $26,182,000 $228,000
2022 $846,266,000 $164,579,000 $219,087,000 $-60,623,000 $24,485,000 $5,702,000 $-89,538,000
2021 $838,211,000 $275,111,000 $192,480,000 $81,047,000 $-16,853,000 $43,038,000 $-20,064,000
2020 $703,244,000 $122,694,000 $192,027,000 $-70,420,000 $-5,004,000 $18,044,000 $113,232,000
2019 $670,250,000 $156,700,000 $129,513,000 $29,007,000 $64,374,000 $10,662,000 $24,066,000
2018 $576,732,000 $40,603,000 $111,012,000 $-69,572,000 $-79,756,000 $254,241,000 $9,718,000
2017 $390,102,000 $35,711,000 $89,273,000 $-49,292,000 $-33,683,000 $3,733,000 $2,000,000
2016 $428,563,000 $87,520,000 $64,980,000 $22,700,000 $94,617,000 $120,974,000 $1,938,000