Recent Annual Filings for JVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $34,010,688 $78,562,298 $75,494,399 $2,218,014 $5,431,211 $-9,627,234 $-1,352,954
2023 $42,191,901 $68,173,404 $69,277,200 $-835,576 $652,083 $423,781 $218,104
2022 $42,692,525 $65,706,879 $71,304,529 $-4,601,857 $-5,437,508 $5,316,311 $-1,180,402
2021 $43,312,927 $63,922,402 $62,714,545 $867,677 $4,709,519 $-1,047 $821,155
2020 $38,480,150 $74,335,815 $74,713,572 $-336,044 $4,385,757 $-3,375,358 $472,564
2019 $39,686,724 $86,467,432 $86,174,218 $264,006 $-2,148,616 $837,471 $-2,208,828
2018 $38,834,077 $90,655,294 $88,616,356 $1,527,406 $8,693,403 $-3,346,818 $2,285,734
2017 $40,000,410 $77,127,595 $76,150,659 $732,840 $1,476,633 $1,194,232 $-902,331