Recent Annual Filings for JJSF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,365,101,000 $1,574,755,000 $1,455,808,000 $81,418,000 $173,066,000 $-68,368,000 $27,032,000
2023 $1,277,236,000 $1,558,829,000 $1,451,315,000 $82,453,000 $172,279,000 $-66,845,000 $12,194,000
2022 $1,216,966,000 $1,380,656,000 $1,318,902,000 $46,905,000 $26,062,000 $22,219,000 $-247,886,000
2021 $1,122,219,000 $1,144,579,000 $1,070,553,000 $57,811,000 $101,499,000 $-24,673,000 $87,383,000
2020 $1,056,553,000 $1,022,038,000 $1,000,572,000 $15,706,000 $92,143,000 $-43,464,000 $3,414,000
2019 $1,019,339,000 $1,186,487,000 $1,059,910,000 $93,910,000 $147,499,000 $-22,826,000 $80,916,000
2018 $932,013,000 $1,138,265,000 $1,020,113,000 $100,477,000 $123,367,000 $-27,336,000 $20,517,000
2017 $867,228,000 $1,084,224,000 $962,024,000 $83,714,000 $125,349,000 $-42,213,000 $-49,690,000