Recent Annual Filings for YMAB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $119,904,000 $87,685,000 $103,885,000 $-27,851,000 $-15,714,000 $4,311,000
2023 $127,869,000 $84,819,000 $110,491,000 $-22,309,000 $-27,232,000 $100,000
2022 $141,456,000 $65,267,000 $160,078,000 $-95,608,000 $-75,921,000 $84,000
2021 $212,783,000 $34,897,000 $150,330,000 $-53,378,000 $-102,556,000 $108,314,000 $66,930,000
2020 $132,047,000 $20,750,000 $140,087,000 $-119,913,000 $-91,231,000 $2,004,000 $-92,502,000
2019 $216,366,000 $-80,985,000 $-73,497,000 $134,704,000 $59,265,000
2018 $151,924,000 $-43,099,000 $-41,229,000 $98,763,000 $57,356,000