Recent Annual Filings for KPLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $93,171,000 $247,194,000 $272,966,000 $-25,915,000 $-32,569,000 $21,613,000 $-12,259,000
2023 $100,862,000 $221,588,000 $258,089,000 $-36,666,000 $-17,414,000 $-22,642,000 $-41,030,000
2022 $131,901,000 $212,105,000 $250,026,000 $-37,871,000 $-20,848,000 $-4,237,000 $-26,590,000
2021 $166,162,000 $303,113,000 $281,368,000 $21,206,000 $2,166,000 $26,104,000 $26,834,000