Recent Annual Filings for KLXE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $456,300,000 $709,300,000 $761,700,000 $-53,000,000 $54,200,000 $-24,000,000 $-20,900,000
2023 $539,800,000 $888,400,000 $866,200,000 $19,200,000 $115,600,000 $-20,800,000 $55,100,000
2022 $465,900,000 $781,600,000 $784,100,000 $-3,100,000 $15,700,000 $32,400,000 $29,400,000
2021 $362,700,000 $276,800,000 $608,600,000 $-332,200,000 $-64,900,000 $400,000 $-76,400,000
2020 $623,400,000 $544,000,000 $648,900,000 $-96,400,000 $58,100,000 $-700,000 $-40,300,000
2019 $672,800,000 $495,300,000 $480,300,000 $14,400,000 $62,000,000 $315,900,000 $163,800,000