Recent Annual Filings for KALU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,314,900,000 $3,024,000,000 $2,936,300,000 $54,200,000 $167,100,000 $-55,300,000 $-62,800,000
2023 $2,267,400,000 $3,087,000,000 $2,991,200,000 $57,100,000 $211,900,000 $-54,300,000 $29,400,000
2022 $2,288,800,000 $3,427,900,000 $3,423,900,000 $-22,700,000 $-63,100,000 $-56,800,000 $-245,700,000
2021 $2,422,400,000 $2,622,000,000 $2,557,600,000 $-3,500,000 $79,400,000 $109,100,000 $-477,300,000
2020 $1,864,700,000 $1,172,700,000 $1,091,600,000 $48,700,000 $206,900,000 $281,900,000 $515,700,000
2019 $1,526,200,000 $1,514,100,000 $1,388,400,000 $72,200,000 $232,300,000 $8,500,000 $139,000,000
2018 $1,419,300,000 $1,585,900,000 $1,442,300,000 $80,000,000 $150,200,000 $-106,000,000 $75,300,000
2017 $1,385,200,000 $1,397,500,000 $1,246,800,000 $45,400,000 $141,500,000 $-119,400,000 $-3,400,000