Recent Annual Filings for JOBY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,203,465,000 $136,000 $608,041,000 $-608,137,000 $-436,267,000 $361,114,000 $-4,390,000
2023 $1,269,435,000 $1,032,000 $513,943,000 $-504,684,000 $-313,831,000 $288,239,000 $54,712,000
2022 $1,292,984,000 $-266,767,000 $-235,925,000 $60,456,000 $-806,258,000
2021 $1,488,355,000 $-180,973,000 $-195,749,000 $1,092,780,000 $878,295,000