Recent Annual Filings for JSPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $79,899,000 $-71,269,000 $-62,602,000 $47,884,000 $-15,250,000
2023 $94,892,000 $-246,000 $68,615,000 $-64,465,000 $-52,067,000 $100,971,000 $48,637,000
2022 $48,361,000 $37,700,000 $-45,858,000 $55,000 $-46,379,000
2021 $93,654,000 $-80,000 $30,557,000 $-30,637,000 $-33,678,000 $100,969,000 $64,863,000