Recent Annual Filings for KMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,503,758,000 $2,046,899,000 $1,902,449,000 $92,853,000 $277,108,000 $-141,747,000 $21,950,000
2023 $2,547,234,000 $2,078,184,000 $1,918,563,000 $122,382,000 $257,945,000 $-143,108,000 $20,435,000
2022 $2,573,524,000 $2,012,456,000 $1,805,723,000 $63,012,000 $181,444,000 $-150,735,000 $-68,461,000
2021 $2,665,761,000 $1,841,441,000 $1,776,781,000 $147,261,000 $235,682,000 $-574,245,000 $-452,637,000
2020 $3,037,591,000 $1,885,305,000 $1,883,345,000 $-51,205,000 $223,738,000 $425,451,000 $424,669,000
2019 $2,656,269,000 $2,375,234,000 $2,063,999,000 $194,121,000 $300,519,000 $-471,432,000 $-374,138,000
2018 $2,925,737,000 $2,367,853,000 $2,092,812,000 $207,678,000 $277,304,000 $247,197,000 $365,524,000
2017 $2,415,496,000 $2,058,368,000 $1,976,493,000 $82,079,000 $192,202,000 $-50,149,000 $29,050,000