Recent Annual Filings for JAMF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,589,652,000 $560,571,000 $668,378,000 $-96,912,000 $35,964,000 $5,321,000 $18,888,000
2022 $1,529,542,000 $478,776,000 $620,990,000 $-173,386,000 $90,005,000 $261,000 $54,771,000
2021 $1,480,420,000 $366,388,000 $446,366,000 $-83,055,000 $65,165,000 $305,528,000 $-17,718,000
2020 $1,078,153,000 $269,451,000 $300,534,000 $-22,771,000 $52,743,000 $115,964,000 $162,435,000