Recent Annual Filings for KNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,698,532,000 $7,410,078,000 $7,166,690,000 $118,014,000 $799,063,000 $-139,397,000 $-99,456,000
2023 $12,870,765,000 $7,141,766,000 $6,803,613,000 $218,755,000 $1,161,676,000 $150,690,000 $84,341,000
2022 $10,951,666,000 $7,428,582,000 $6,336,754,000 $769,452,000 $1,435,853,000 $-754,347,000 $35,322,000
2021 $10,655,500,000 $5,998,019,000 $5,032,322,000 $742,825,000 $1,190,153,000 $779,326,000 $152,746,000
2020 $8,468,002,000 $4,673,863,000 $4,109,425,000 $410,635,000 $919,645,000 $-443,884,000 $-4,951,000
2019 $8,281,732,000 $4,843,950,000 $4,429,974,000 $310,178,000 $839,594,000 $-184,636,000 $71,252,000
2018 $7,911,885,000 $5,344,066,000 $4,792,028,000 $420,649,000 $881,977,000 $-255,442,000 $-20,757,000
2017 $7,683,442,000 $2,425,453,000 $2,231,744,000 $485,425,000 $318,569,000 $24,000,000 $68,628,000