Recent Annual Filings for KFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $186,616,000 $109,382,000 $117,642,000 $-7,434,000 $1,067,000 $11,444,000 $-4,335,000
2023 $197,717,000 $103,244,000 $79,593,000 $-4,103,000 $-26,186,000 $-39,963,000 $-59,692,000
2022 $285,650,000 $93,280,000 $58,323,000 $10,827,000 $-14,574,000 $-37,932,000 $48,434,000
2021 $475,634,000 $91,766,000 $97,550,000 $-5,435,000 $-5,908,000 $-540,000 $-15,046,000
2020 $452,474,000 $61,362,000 $67,899,000 $-2,693,000 $1,672,000 $13,603,000 $19,284,000
2019 $399,623,000 $59,948,000 $63,080,000 $-9,722,000 $-759,000 $1,308,000 $-5,917,000
2018 $378,240,000 $52,078,000 $74,027,000 $-24,212,000 $-10,143,000 $-4,090,000 $5,815,000
2017 $484,600,000 $193,194,000 $222,610,000 $-14,775,000 $-18,977,000 $2,225,000 $7,811,000