Recent Annual Filings for KNSL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,886,704,000 $1,587,525,000 $1,072,809,000 $412,254,000 $976,301,000 $-29,657,000 $-13,481,000
2023 $3,772,974,000 $1,224,449,000 $840,432,000 $348,394,000 $859,835,000 $-28,523,000 $-29,580,000
2022 $2,747,122,000 $819,200,000 $623,636,000 $6,071,000 $557,815,000 $185,992,000 $35,234,000
2021 $2,025,655,000 $639,779,000 $450,978,000 $129,404,000 $407,042,000 $-11,140,000 $43,947,000
2020 $1,546,896,000 $459,886,000 $359,473,000 $116,281,000 $279,974,000 $76,144,000 $-23,315,000
2019 $1,090,550,000 $315,888,000 $239,837,000 $78,090,000 $178,357,000 $77,755,000 $25,319,000
2018 $773,063,000 $222,114,000 $181,634,000 $28,318,000 $103,980,000 $-4,098,000 $-6,658,000
2017 $667,849,000 $186,776,000 $148,255,000 $31,285,000 $77,398,000 $-3,971,000 $30,995,000