Recent Annual Filings for JANX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,061,516,000 $10,588,000 $79,582,000 $-67,496,000 $-43,814,000 $713,235,000 $411,400,000
2023 $380,407,000 $8,083,000 $66,376,000 $-56,093,000 $-50,575,000 $59,548,000 $-32,221,000
2022 $364,010,000 $8,612,000 $71,671,000 $-64,324,000 $-42,922,000 $500,000 $15,844,000
2021 $379,824,000 $3,637,000 $36,309,000 $-32,942,000 $-16,976,000 $386,524,000 $28,585,000