Recent Annual Filings for JAKK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $444,869,000 $691,042,000 $651,310,000 $32,643,000 $38,947,000 $-26,918,000 $-2,417,000
2023 $398,951,000 $711,557,000 $666,611,000 $39,968,000 $66,404,000 $-72,288,000 $-12,936,000
2022 $405,342,000 $796,187,000 $746,112,000 $86,553,000 $86,099,000 $-31,024,000 $40,158,000
2021 $357,047,000 $621,116,000 $626,778,000 $-6,394,000 $-5,879,000 $-32,787,000 $-47,361,000
2020 $329,369,000 $515,872,000 $529,281,000 $-12,168,000 $43,567,000 $-10,946,000 $26,407,000