Recent Annual Filings for JOUT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $635,212,000 $592,846,000 $622,708,000 $-23,892,000 $40,984,000 $-13,695,000 $33,644,000
2023 $681,606,000 $663,844,000 $638,020,000 $22,237,000 $41,713,000 $-12,732,000 $-17,949,000
2022 $679,931,000 $743,355,000 $684,467,000 $37,725,000 $-62,144,000 $-12,233,000 $-110,645,000
2021 $674,287,000 $751,651,000 $638,729,000 $86,050,000 $58,318,000 $-9,033,000 $28,011,000
2020 $546,026,000 $594,209,000 $520,507,000 $58,392,000 $61,493,000 $-7,107,000 $40,055,000
2019 $436,444,000 $562,419,000 $495,912,000 $49,484,000 $45,844,000 $-6,186,000 $50,505,000
2018 $395,936,000 $544,268,000 $476,162,000 $39,163,000 $63,358,000 $-4,935,000 $58,067,000
2017 $353,659,000 $490,565,000 $442,355,000 $37,796,000 $46,350,000 $-11,551,000 $-23,484,000