Recent Annual Filings for JAGX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $53,425,000 $11,689,000 $42,520,000 $-39,034,000 $-29,384,000 $31,202,000 $1,587,000
2023 $50,763,000 $9,761,000 $44,052,000 $-41,870,000 $-33,242,000 $34,227,000
2022 $47,452,000 $11,956,000 $46,371,000 $-49,075,000 $-33,104,000 $23,181,000 $-11,598,000
2021 $53,265,000 $4,335,000 $45,043,000 $-52,600,000 $-34,970,000 $43,937,000 $8,961,000
2020 $42,843,000 $9,385,000 $36,032,000 $-33,809,000 $-15,278,000 $19,492,000 $4,207,000
2019 $36,410,421 $5,775,257 $34,723,368 $-38,539,436 $-20,456,806 $21,771,993
2018 $41,041,945 $4,416,145 $36,562,202 $-32,146,057 $-22,730,832 $24,545,683 $1,808,324
2017 $43,629,206 $4,361,186 $39,511,042 $-21,968,614 $-9,824,940 $10,679,874 $-430,281