Recent Annual Filings for KINS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $374,915,843 $155,142,103 $131,853,946 $18,457,523 $57,947,771 $-2,993,887 $19,692,443
2023 $317,633,210 $144,190,714 $151,556,245 $-2,484,481 $-11,326,850 $-1,116,080 $-2,981,230
2022 $320,332,531 $130,159,290 $158,101,630 $-40,279,961 $-915,521 $-5,511,070 $-12,332,370
2021 $331,312,275 $161,231,241 $170,640,678 $-7,378,301 $24,346,237 $-3,571,519 $4,826,856
2020 $317,582,267 $131,369,751 $132,657,561 $5,111,192 $-10,234,626 $-3,274,410 $-12,927,743
2019 $321,202,812 $145,563,020 $153,345,564 $1,686,830 $29,859,049 $-3,632,268 $11,253,082
2018 $266,752,079 $113,771,898 $110,764,835 $-477,472 $22,295,366 $-6,137,282 $-27,243,230
2017 $254,548,063 $92,769,310 $78,459,595 $10,831,289 $28,046,140 $55,917,303 $36,337,113