Recent Annual Filings for KIND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $513,953,000 $247,276,000 $368,915,000 $-98,089,000 $-20,202,000 $-81,035,000 $-14,683,000
2023 $654,564,000 $218,309,000 $390,593,000 $-144,626,000 $-59,273,000 $8,916,000 $16,168,000
2022 $699,562,000 $212,765,000 $356,969,000 $-139,583,000 $-60,503,000 $-64,348,000 $-466,576,000
2021 $840,086,000 $192,197,000 $287,003,000 $-95,057,000 $-51,268,000 $637,576,000 $437,069,000