Recent Annual Filings for KIM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,309,896,000 $2,037,014,000 $1,685,806,000 $427,148,000 $1,005,621,000 $-781,106,000 $-94,026,000
2023 $18,274,022,000 $1,783,400,000 $1,139,486,000 $658,697,000 $1,071,607,000 $-300,696,000 $633,928,000
2022 $17,826,122,000 $1,727,684,000 $1,683,380,000 $122,899,000 $861,114,000 $-982,731,000 $-184,834,000
2021 $18,459,199,000 $1,364,585,000 $619,459,000 $851,912,000 $618,875,000 $-101,141,000 $41,475,000
2020 $11,614,498,000 $1,057,893,000 $130,019,000 $1,002,877,000 $589,913,000 $-387,399,000 $169,241,000
2019 $10,997,867,000 $1,158,884,000 $846,878,000 $413,561,000 $583,628,000 $-482,841,000 $-19,634,000
2018 $10,999,100,000 $1,164,762,000 $765,416,000 $498,807,000 $637,936,000 $-986,513,000 $-94,932,000
2017 $11,763,726,000 $1,200,834,000 $1,054,505,000 $432,425,000 $614,181,000 $-223,874,000 $96,027,000