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