Recent Annual Filings for JLL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,763,800,000 $23,432,900,000 $22,753,600,000 $491,400,000 $785,300,000 $-451,200,000 $-10,700,000
2023 $16,064,800,000 $20,760,800,000 $20,508,900,000 $282,100,000 $575,800,000 $-374,300,000 $-82,600,000
2022 $15,593,700,000 $20,862,100,000 $19,867,900,000 $401,700,000 $199,900,000 $-13,100,000 $-95,600,000
2021 $15,505,000,000 $19,367,000,000 $18,143,400,000 $943,400,000 $972,400,000 $-143,800,000 $1,800,000
2020 $14,316,500,000 $16,589,900,000 $16,060,300,000 $453,100,000 $1,114,700,000 $-771,200,000 $187,700,000
2019 $13,672,600,000 $17,983,200,000 $17,285,600,000 $563,700,000 $483,800,000 $584,600,000 $17,900,000
2018 $10,025,500,000 $16,318,400,000 $15,612,400,000 $369,400,000 $604,100,000 $-141,300,000 $162,500,000
2017 $8,014,500,000 $7,932,400,000 $7,407,300,000 $463,500,000 $789,200,000 $-623,500,000 $9,500,000