Recent Annual Filings for JBGS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,020,540,000 $547,312,000 $545,766,000 $-181,581,000 $129,393,000 $-290,797,000 $-17,249,000
2023 $5,518,515,000 $604,198,000 $564,984,000 $-123,882,000 $183,372,000 $-158,825,000 $-73,632,000
2022 $5,903,438,000 $605,824,000 $589,653,000 $169,136,000 $178,037,000 $-730,080,000 $-28,022,000
2021 $6,386,206,000 $634,362,000 $645,496,000 $-63,021,000 $217,622,000 $189,878,000 $38,759,000
2020 $6,079,547,000 $602,723,000 $640,150,000 $-93,486,000 $169,021,000 $119,489,000 $120,820,000
2019 $5,986,251,000 $647,770,000 $574,928,000 $48,116,000 $173,986,000 $-190,330,000 $-257,016,000
2018 $5,997,285,000 $644,182,000 $598,307,000 $53,085,000 $188,193,000 $-193,545,000 $60,975,000
2017 $6,071,807,000 $543,013,000 $632,009,000 $-77,247,000 $74,183,000 $239,787,000 $306,294,000