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Annexon ANNX Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$196.48M+4.9%-$206.69M+0.2%-$207.02M-10.8%-$186.93M-11.7%-$167.38M-21.1%
$2.17M+0.1%$2.17M+0.3%$2.16M+0.4%$2.15M+0.1%$2.15M0.0%
$15.5M-5.6%$16.42M-10.5%$18.34M-4.0%$19.11M-3.7%$19.85M+2.2%
$11.45M+52.9%$7.48M+16.3%$6.44M+30.4%
$15.96M+17.5%$13.59M+86.3%
$4.86M+52.5%
$1.58M+3.9%$1.52M+3.9%$1.46M+3.9%$1.41M+3.9%$1.36M+3.9%
-$183.1M+1.7%-$186.36M-5.6%-$176.45M-13.0%-$156.16M-11.7%-$139.79M-18.5%
$63K-54.0%$137K-4.2%$143K
$156.35M-26.3%$212.21M-33.5%$319.22M-27.2%$438.26M-19.6%$545.44M-6.6%
$275.9M-31.4%$402.4M-25.1%$536.95M-4.8%$564.15M+12.5%$501.65M+37.4%
$216.57M+73.6%$124.78M+378%-$44.89M+79.6%
$62.09M+118%$28.49M+51.3%$18.82M+301%$4.7M-58.2%$11.24M-74.7%
$2.55M+57.6%$1.62M+105%$788K+53.0%$515K-61.7%$1.35M-40.5%
$141.69M+30.2%$108.86M+481%$18.74M+250%$5.35M-95.8%$128.85M-20.1%
$78.08M-30.6%$112.55M+88.0%$59.88M+339%-$25.01M+58.4%-$60.18M+66.7%
$2.79M-30.4%$4.01M-39.3%$6.6M-28.4%$9.23M-5.5%$9.77M+7.9%
-$2.87M-3.7%-$2.77M-3.8%-$2.67M-3.7%-$2.57M-3.9%-$2.48M-3.9%
$1.58M+3.9%$1.52M+3.9%$1.46M+3.9%$1.41M+3.9%$1.36M+3.9%
$275.9M-31.4%$402.4M-25.1%$536.95M-4.8%$564.15M+12.5%$501.65M+37.4%
$5.11M+0.9%$5.07M+34.6%$3.76M-24.4%$4.98M+0.9%$4.94M+0.9%
-$183.16M+1.8%-$186.49M-5.6%-$176.59M
-$183.16M+1.8%-$186.49M-5.6%-$176.59M

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Questions, answered.

How much cash does Annexon generate?
Annexon (ANNX) generated -$183.1M in operating cash flow over the trailing twelve months.
What is Annexon's free cash flow?
After $63.0K of capital expenditures, Annexon's free cash flow was -$183.2M over the trailing twelve months, down 32.8% year over year.
Where does Annexon's cash flow data come from?
Every line is extracted from Annexon's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.