JDCMF Cash Flow Statement (2012-2023) | JDCMF

Cash Flow Statement Dec2012 Dec2013 Dec2014 Dec2015 Dec2016 Dec2017 Dec2018 Dec2021 Dec2023
Operating Activities
Gains from Sales and Divestitures (Quarter) 0.04M0.01M1.04M1.15M1.27M1.81M2.33M
Gains from Investment Securities (Quarter) 4.43M49.85M4.30M0.43M2.59M0.18M
Asset Writedowns and Impairment (Quarter) 611.41M36.94M
Non-cash Items (Quarter) 30.05M1.14M1.31M86.85M1.59M