Recent Annual Filings for JEF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $57,905,161,000 $7,441,399,000 $7,087,130,000 $246,262,000 $-1,933,626,000 $1,060,124,000 $-885,706,000
2022 $51,057,683,000 $7,149,263,000 $6,093,701,000 $774,434,000 $1,804,849,000 $-2,843,225,000 $-1,121,058,000
2021 $60,404,110,000 $9,039,883,000 $5,836,805,000 $1,594,150,000 $1,573,018,000 $994,294,000 $2,163,332,000
2020 $53,118,352,000 $6,955,930,000 $4,868,308,000 $752,532,000 $2,075,948,000 $-723,525,000 $1,184,537,000
2019 $49,460,234,000 $5,358,656,000 $3,617,363,000 $401,238,000 $-827,837,000 $1,589,578,000 $2,467,773,000
2012 $36,293,541,000 $3,871,205,000 $3,379,410,000 $320,502,000 $188,905,000 $125,987,000 $298,798,000
2011 $34,971,422,000 $3,529,638,000 $3,110,304,000 $285,406,000 $-282,987,000 $882,539,000 $204,799,000