Recent Annual Filings for ZYME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $463,091,000 $76,304,000 $213,414,000 $-123,044,000 $-110,044,000 $-20,452,000 $-91,454,000
2023 $580,880,000 $76,012,000 $214,065,000 $-118,618,000 $-118,303,000 $81,847,000 $-243,355,000
2022 $648,725,000 $412,482,000 $281,954,000 $124,341,000 $144,109,000 $108,582,000 $199,045,000
2021 $389,132,000 $26,680,000 $242,313,000 $-211,843,000 $-192,451,000 $8,011,000 $-40,169,000
2020 $538,376,000 $38,951,000 $226,419,000 $-180,552,000 $-151,403,000 $308,978,000 $113,585,000
2019 $368,205,000 $29,544,000 $180,845,000 $-145,437,000 $-81,853,000 $193,661,000 $86,246,000
2018 $244,363,000 $53,019,000 $86,146,000 $-36,556,000 $24,177,000 $91,431,000 $6,259,000