Recent Annual Filings for KBH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,936,169,000 $6,930,086,000 $654,985,000 $362,722,000 $-440,752,000 $-128,149,000
2023 $6,648,362,000 $6,410,629,000 $592,081,000 $1,082,699,000 $-627,493,000 $397,144,000
2022 $6,651,930,000 $6,903,776,000 $830,210,000 $183,418,000 $-73,583,000 $38,062,000
2021 $5,835,918,000 $5,724,930,000 $567,903,000 $-37,296,000 $-315,013,000 $-390,393,000
2020 $5,356,442,000 $4,183,174,000 $291,116,000 $310,678,000 $-56,444,000 $227,671,000
2019 $5,015,482,000 $4,552,747,000 $262,834,000 $251,042,000 $-330,359,000 $-120,261,000
2018 $5,073,571,000 $4,547,002,000 $4,201,281,000 $177,724,000 $221,512,000 $-347,147,000 $-145,742,000
2017 $5,041,515,000 $4,368,529,000 $4,085,126,000 $179,728,000 $513,219,000 $-369,614,000 $127,861,000