Recent Annual Filings for DKL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,041,559,000 $940,636,000 $737,810,000 $142,685,000 $206,339,000 $179,869,000 $1,629,000
2023 $1,642,246,000 $1,020,409,000 $781,460,000 $126,236,000 $225,319,000 $-139,905,000 $-4,215,000
2022 $1,679,299,000 $1,036,407,000 $826,725,000 $159,052,000 $192,168,000 $581,947,000 $3,678,000
2021 $935,071,000 $700,902,000 $510,400,000 $164,822,000 $275,162,000 $-258,753,000 $49,000
2020 $956,417,000 $563,418,000 $383,625,000 $159,256,000 $193,016,000 $-71,180,000 $-1,302,000
2019 $744,447,000 $583,992,000 $458,180,000 $96,749,000 $130,399,000 $18,040,000 $1,023,000
2018 $624,593,000 $657,609,000 $531,852,000 $90,182,000 $147,953,000 $79,933,000 $-153,000
2017 $443,530,000 $538,075,000 $449,898,000 $69,409,000 $87,703,000 $-52,415,000 $4,616,000