Recent Annual Filings for KAVL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,004,276 $6,886,665 $13,566,289 $-6,699,282 $-672,632 $4,041,273
2023 $19,385,006 $13,087,018 $24,217,442 $-11,132,772 $-2,973,254 $136,789 $-3,152,234
2022 $12,437,034 $12,761,457 $27,150,109 $-14,370,335 $-5,705,130 $1,565,788
2021 $30,190,520 $58,776,430 $69,245,066 $-9,033,438 $-9,313,241 $9,716,775 $403,534