Recent Annual Filings for KOSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,199,479 $12,265,069 $13,289,584 $-950,911 $-190,531 $134,975 $-253,981
2023 $38,370,805 $13,099,651 $4,479,894 $8,302,380 $10,735,649 $171,350 $-6,117,108
2022 $29,955,096 $17,607,267 $16,331,341 $1,268,409 $-942,530 $1,390,346 $2,257,955
2021 $26,324,145 $19,546,008 $19,048,289 $493,594 $348,740 $3,306,272 $2,950,806
2020 $22,580,406 $18,311,830 $18,775,687 $-465,597 $1,801,702 $506,700 $1,771,127
2019 $23,235,282 $21,842,097 $21,434,486 $434,114 $1,411,065 $46,677 $1,146,749
2018 $19,675,585 $23,515,441 $23,858,805 $-3,386,060 $1,031,087 $649,250
2017 $23,423,653 $24,054,281 $24,827,371 $-963,636 $234,252 $-303,110