Recent Annual Filings for KORE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $455,833,000 $286,087,000 $388,880,000 $-143,784,000 $9,906,000 $-3,782,000 $-7,736,000
2023 $586,984,000 $276,610,000 $395,371,000 $-166,722,000 $-6,419,000 $18,906,000 $-7,570,000
2022 $688,736,000 $268,447,000 $385,064,000 $-109,127,000 $16,356,000 $-4,694,000 $-51,336,000
2021 $759,602,000 $248,217,000 $282,364,000 $-26,107,000 $-14,758,000 $104,053,000 $75,650,000