Recent Annual Filings for JAZZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,012,257,000 $4,068,950,000 $3,352,320,000 $454,600,000 $1,395,908,000 $20,516,000 $906,554,000
2023 $11,393,359,000 $3,834,204,000 $3,255,624,000 $698,194,000 $1,092,007,000 $-305,254,000 $624,828,000
2022 $10,835,255,000 $3,659,374,000 $3,724,902,000 $-949,209,000 $1,271,977,000 $-529,491,000 $290,034,000
2021 $12,298,639,000 $3,094,238,000 $2,923,960,000 $-595,676,000 $778,507,000 $3,970,522,000 $-466,321,000
2020 $6,535,901,000 $2,363,567,000 $1,985,494,000 $327,657,000 $899,648,000 $528,073,000 $420,425,000
2019 $5,538,897,000 $2,161,761,000 $1,629,387,000 $497,765,000 $776,401,000 $-293,745,000 $327,722,000
2018 $5,203,491,000 $1,890,922,000 $1,361,459,000 $390,132,000 $798,904,000 $-479,130,000 $-76,413,000
2017 $5,123,672,000 $1,618,693,000 $1,177,576,000 $664,303,000 $693,087,000 $-409,111,000 $20,072,000