Recent Annual Filings for JMSB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,234,947,000 $110,133,000 $88,254,000 $18,720,000 $17,259,000 $-24,760,000 $23,464,000
2023 $2,242,549,000 $100,770,000 $92,789,000 $21,604,000 $18,004,000 $-125,434,000 $37,406,000
2022 $2,348,235,000 $84,066,000 $44,003,000 $3,506,000 $33,155,000 $193,517,000 $-44,200,000