2021 annual financial data

Replimune Group, Inc. 2021 Operating cash flow

Replimune Group, Inc. 2021 operating cash flow with verified reported values.

Direct answer

Operating cash flow was -61,389,000 USD.

Operating income was -82,762,000 USD and net income was -80,870,000 USD.
Operating cash flow was -61,389,000 USD.

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Verified data

Revenue
0 USD
Operating income
-82,762,000 USD
Net income
-80,870,000 USD
Operating cash flow
-61,389,000 USD