Recent Annual Filings for KKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $317,294,194,000 $14,499,312,000 $7,944,703,000 $6,851,314,000 $-1,493,812,000 $12,774,088,000 $7,422,750,000
2022 $5,721,195,000 $6,780,395,000 $-9,803,382,000 $-5,279,259,000 $22,055,366,000 $2,859,066,000
2021 $16,236,148,000 $2,587,699,000 $11,868,320,000 $-7,176,708,000 $20,363,994,000 $3,532,847,000
2020 $79,806,502,000 $4,230,891,000 $-1,495,804,000 $5,150,256,000 $-5,953,693,000 $9,803,704,000 $3,756,041,000
2019 $60,899,319,000 $4,220,900,000 $-947,390,000 $4,636,142,000 $-5,682,155,000 $6,484,989,000 $595,904,000
2018 $50,743,375,000 $2,395,836,000 $138,988,000 $2,402,182,000 $-7,606,475,000 $6,615,931,000 $-1,093,849,000
2017 $45,834,719,000 $63,460,000 $-2,720,908,000 $2,614,696,000 $-3,630,029,000 $2,940,083,000 $-632,215,000
2016 $39,002,897,000 $65,754,000 $-909,471,000 $916,081,000 $-1,562,182,000 $3,085,862,000 $1,461,162,000