Recent Annual Filings for ZLAB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,036,295,000 $266,719,000 $601,339,000 $-322,679,000 $-198,178,000 $-6,433,000 $-215,387,000
2022 $1,220,140,000 $215,040,000 $658,326,000 $-393,956,000 $-367,642,000 $-1,730,000 $50,644,000
2021 $1,609,956,000 $144,312,000 $847,726,000 $-713,592,000 $-549,231,000 $820,202,000 $520,928,000
2020 $1,297,638,000 $48,958,000 $317,863,000 $-288,049,000 $-216,055,000 $1,132,440,000 $361,555,000