Recent Annual Filings for KOS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,308,988,000 $1,675,358,000 $1,325,750,000 $189,851,000 $678,249,000 $274,323,000 $-13,484,000
2023 $4,938,134,000 $1,701,608,000 $1,329,800,000 $213,520,000 $765,170,000 $141,620,000 $-88,060,000
2022 $4,579,988,000 $2,245,355,000 $1,962,708,000 $226,551,000 $1,130,476,000 $-414,696,000 $11,925,000
2021 $4,940,651,000 $1,332,013,000 $1,377,219,000 $-77,836,000 $374,344,000 $624,165,000 $25,132,000
2020 $3,867,593,000 $804,033,000 $1,312,993,000 $-411,586,000 $196,145,000 $69,860,000 $-79,582,000
2019 $4,317,232,000 $1,499,416,000 $1,484,792,000 $-55,777,000 $628,150,000 $-220,489,000 $43,730,000
2018 $4,088,189,000 $886,666,000 $953,229,000 $-93,991,000 $260,491,000 $605,277,000 $-119,370,000
2017 $3,192,603,000 $636,836,000 $814,691,000 $-222,792,000 $236,617,000 $-52,261,000 $31,791,000