Recent Annual Filings for JACK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,735,629,000 $1,571,306,000 $1,488,770,000 $-42,380,000 $68,816,000 $-131,185,000 $-131,740,000
2023 $3,001,092,000 $1,692,306,000 $1,413,553,000 $133,018,000 $215,006,000 $-207,358,000 $49,867,000
2022 $2,922,506,000 $1,468,083,000 $1,219,813,000 $136,053,000 $162,882,000 $478,178,000 $62,472,000
2021 $1,750,137,000 $1,143,670,000 $853,724,000 $202,106,000 $201,122,000 $-343,545,000 $-163,352,000
2020 $1,906,494,000 $1,021,506,000 $790,922,000 $119,165,000 $143,525,000 $-87,289,000 $85,359,000
2019 $958,483,000 $950,107,000 $747,884,000 $48,691,000 $168,405,000 $-5,730,000 $148,856,000
2018 $823,397,000 $869,690,000 $638,076,000 $164,872,000 $104,055,000 $-445,529,000 $-4,937,000
2017 $1,228,421,000 $1,553,914,000 $1,287,773,000 $184,592,000 $171,837,000 $-214,542,000 $-9,388,000