Recent Annual Filings for KE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,207,919,000 $1,714,510,000 $1,689,311,000 $13,750,000 $73,217,000 $8,974,000 $35,670,000
2023 $1,259,719,000 $1,823,429,000 $1,748,685,000 $64,457,000 $-13,804,000 $99,179,000 $-5,092,000
2022 $1,035,767,000 $1,349,535,000 $1,305,804,000 $16,464,000 $-83,178,000 $103,741,000 $-54,235,000
2021 $814,061,000 $1,291,807,000 $1,221,753,000 $62,459,000 $130,095,000 $-53,078,000 $41,452,000
2020 $774,829,000 $1,200,600,000 $1,175,443,000 $15,273,000 $72,808,000 $-17,934,000 $15,714,000
2019 $764,111,000 $1,181,800,000 $1,143,315,000 $30,829,000 $-6,748,000 $79,430,000 $2,848,000
2018 $608,758,000 $1,072,061,000 $1,027,286,000 $18,888,000 $40,200,000 $-12,603,000 $1,873,000
2017 $554,944,000 $930,914,000 $886,659,000 $37,285,000 $46,754,000 $-22,034,000 $-10,183,000