Recent Annual Filings for JELD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,620,169,000 $3,775,592,000 $3,946,410,000 $-223,205,000 $106,214,000 $-80,633,000 $-138,100,000
2023 $2,980,125,000 $4,304,334,000 $4,215,760,000 $109,769,000 $345,188,000 $-563,157,000 $68,279,000
2022 $3,501,361,000 $5,129,179,000 $5,050,142,000 $-3,161,000 $30,337,000 $-120,014,000 $-176,022,000
2021 $3,738,671,000 $4,771,719,000 $4,567,357,000 $133,769,000 $175,666,000 $-401,209,000 $-339,704,000
2020 $3,964,685,000 $4,235,677,000 $4,046,954,000 $184,168,000 $355,655,000 $207,909,000 $506,718,000
2019 $3,381,332,000 $4,289,761,000 $4,099,347,000 $56,501,000 $302,709,000 $-6,411,000 $112,253,000
2018 $3,051,055,000 $4,346,703,000 $4,211,126,000 $94,797,000 $219,653,000 $-67,475,000 $-138,611,000
2017 $2,862,940,000 $3,763,934,000 $3,618,179,000 $112,626,000 $265,793,000 $64,090,000 $152,782,000