Recent Annual Filings for KFRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $357,834,000 $1,405,308,000 $1,337,684,000 $50,414,000 $86,874,000 $-79,080,000 $230,000
2023 $357,979,000 $1,531,756,000 $1,446,506,000 $61,075,000 $91,465,000 $-86,605,000 $-2,000
2022 $392,004,000 $1,710,765,000 $1,608,323,000 $74,816,000 $90,805,000 $-173,391,000 $-96,868,000
2021 $503,401,000 $1,579,922,000 $1,480,655,000 $80,221,000 $72,898,000 $-87,696,000 $-6,497,000
2020 $479,049,000 $1,397,700,000 $1,322,488,000 $53,142,000 $109,159,000 $-18,577,000 $83,655,000
2019 $381,125,000 $1,347,387,000 $1,275,991,000 $127,872,000 $66,617,000 $-150,083,000 $19,719,000
2018 $379,908,000 $1,418,353,000 $1,341,200,000 $59,176,000 $87,723,000 $-83,820,000 $-267,000
2017 $384,304,000 $1,357,940,000 $1,293,846,000 $33,201,000 $29,339,000 $-25,596,000 $-1,103,000