Recent Annual Filings for JOE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,538,574,000 $402,737,000 $307,151,000 $71,764,000 $107,993,000 $-52,068,000 $5,546,000
2023 $1,523,530,000 $389,285,000 $298,552,000 $73,058,000 $103,849,000 $40,761,000 $45,467,000
2022 $1,430,839,000 $252,321,000 $190,854,000 $74,430,000 $48,221,000 $112,458,000 $-29,097,000
2021 $1,208,151,000 $266,996,000 $172,539,000 $74,832,000 $111,797,000 $48,569,000 $-35,719,000
2020 $1,037,324,000 $160,555,000 $113,470,000 $44,343,000 $37,331,000 $48,609,000 $-78,558,000
2019 $909,233,000 $127,085,000 $95,762,000 $27,000,000 $30,393,000 $-10,491,000 $-9,396,000
2018 $870,962,000 $110,276,000 $80,872,000 $32,389,000 $41,420,000 $-79,863,000 $5,622,000
2017 $920,993,000 $98,796,000 $57,441,000 $55,268,000 $55,766,000 $-149,245,000 $-49,028,000