Recent Annual Filings for JKHY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,924,481,000 $2,215,543,000 $1,726,152,000 $381,816,000 $568,041,000 $-301,835,000 $26,041,000
2023 $2,773,826,000 $2,077,702,000 $1,597,014,000 $366,646,000 $381,559,000 $-8,430,000 $-36,544,000
2022 $2,455,564,000 $1,942,884,000 $1,468,265,000 $362,916,000 $504,631,000 $-310,492,000 $-2,205,000
2021 $2,336,156,000 $1,758,225,000 $1,359,506,000 $311,469,000 $462,129,000 $-462,232,000 $-162,353,000
2020 $2,428,474,000 $1,697,067,000 $1,316,440,000 $296,668,000 $510,532,000 $-192,909,000 $119,717,000
2019 $2,184,829,000 $1,552,691,000 $1,205,406,000 $271,885,000 $431,128,000 $-178,305,000 $62,188,000
2018 $2,050,303,000 $1,536,603,000 $1,144,234,000 $376,660,000 $412,142,000 $-203,641,000 $-83,325,000
2017 $1,908,945,000 $1,431,117,000 $1,064,163,000 $245,793,000 $357,322,000 $-171,281,000 $44,455,000