Recent Annual Filings for KFY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,678,869,000 $2,795,505,000 $2,582,576,000 $158,076,000 $283,961,000 $-116,333,000 $113,800,000
2023 $3,574,444,000 $2,863,836,000 $2,547,496,000 $213,362,000 $343,894,000 $-152,180,000 $-131,763,000
2022 $3,464,546,000 $2,643,455,000 $2,173,381,000 $290,304,000 $501,658,000 $-137,444,000 $179,882,000
2021 $3,056,526,000 $1,819,946,000 $1,664,162,000 $170,997,000 $251,433,000 $-66,886,000 $123,168,000
2020 $2,743,828,000 $1,977,330,000 $1,801,305,000 $76,115,000 $236,349,000 $43,681,000 $81,268,000
2019 $2,334,852,000 $1,973,862,000 $1,833,036,000 $70,309,000 $258,805,000 $-64,625,000 $105,512,000
2018 $2,287,914,000 $1,819,519,000 $1,615,635,000 $166,766,000 $219,125,000 $-77,258,000 $109,966,000
2017 $2,062,898,000 $1,621,669,000 $1,507,229,000 $73,839,000 $106,064,000 $64,442,000 $137,630,000