Flexion Therapeutics, Inc. Cash on Hand 2014-2021 | FLXN

Flexion Therapeutics, Inc. cash on hand from 2014 to 2021. Cash on hand can be defined as cash deposits at financial institutions that can immediately be withdrawn at any time, and investments maturing in one year or less that are highly liquid and therefore regarded as cash equivalents and reported with or near cash line items.
Flexion Therapeutics, Inc. Annual Cash on Hand
(Millions of US $)
2020 $175
2019 $137
2018 $259
2017 $392
2016 $206
2015 $111
2014 $152
2013 $16
2012 $29
2011 $
Flexion Therapeutics, Inc. Quarterly Cash on Hand
(Millions of US $)
2021-09-30 $142
2021-06-30 $131
2021-03-31 $154
2020-12-31 $175
2020-09-30 $185
2020-06-30 $201
2020-03-31 $125
2019-12-31 $137
2019-09-30 $176
2019-06-30 $172
2019-03-31 $218
2018-12-31 $259
2018-09-30 $303
2018-06-30 $340
2018-03-31 $372
2017-12-31 $392
2017-09-30 $335
2017-06-30 $360
2017-03-31 $186
2016-12-31 $206
2016-09-30 $160
2016-06-30 $163
2016-03-31 $98
2015-12-31 $111
2015-09-30 $132
2015-06-30 $127
2015-03-31 $132
2014-12-31 $152
2014-09-30 $67
2014-06-30 $72
2014-03-31 $79
2013-12-31 $16
2013-09-30
2013-06-30
2013-03-31