Recent Annual Filings for KPRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $36,484,484 $16,020,000 $10,360,262 $3,495,375 $8,559,115 $15,498,155 $1,337,428
2023 $13,711,870 $-12,513,956 $-9,556,951 $5,966,066 $-36,020
2022 $18,678,259 $-13,679,920 $-10,428,133 $8,620,921 $-1,885,874
2021 $18,057,994 $-16,480,547 $-10,887,672 $17,795,208 $6,669,013