Recent Annual Filings for J

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,759,005,000 $11,500,941,000 $10,723,655,000 $1,011,147,000 $1,054,673,000 $-751,637,000 $217,486,000
2023 $14,617,109,000 $16,352,414,000 $15,435,735,000 $836,832,000 $974,763,000 $-1,086,410,000 $-224,762,000
2022 $14,660,419,000 $14,922,825,000 $14,046,478,000 $534,724,000 $474,709,000 $320,234,000 $127,632,000
2021 $14,632,609,000 $14,092,632,000 $13,397,030,000 $569,444,000 $726,276,000 $798,983,000 $164,151,000
2020 $12,354,353,000 $13,566,975,000 $13,125,772,000 $507,622,000 $806,849,000 $-208,315,000 $231,356,000