Recent Annual Filings for JRSH
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$80,245,566 |
$117,187,340 |
$118,556,771 |
$-2,411,016 |
$2,484,541 |
$-2,427,603 |
$-5,374,736 |
2023 |
$83,719,333 |
$138,063,309 |
$133,979,576 |
$2,169,249 |
$10,807,134 |
$-3,953,339 |
$-6,921,356 |
2022 |
$85,310,984 |
$143,354,902 |
$132,911,027 |
$8,062,646 |
$8,963,545 |
$3,288,738 |
$3,579,035 |
2021 |
$73,250,105 |
$90,213,361 |
$84,719,091 |
$4,141,047 |
$-1,500,440 |
$-1,652,532 |
$-4,054,998 |
2020 |
$67,479,036 |
$93,024,236 |
$85,379,970 |
$6,475,764 |
$6,912,652 |
$-2,913,430 |
$-917,759 |
2019 |
$59,251,097 |
$84,983,661 |
$78,611,285 |
$5,121,730 |
$9,775,265 |
$7,465,954 |
$15,638,358 |