Recent Annual Filings for KRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,898,357,000 $1,135,629,000 $924,660,000 $232,954,000 $541,149,000 $-660,578,000 $-344,473,000
2023 $11,401,045,000 $1,129,694,000 $917,453,000 $238,288,000 $602,589,000 $360,595,000 $162,784,000
2022 $10,796,987,000 $1,096,987,000 $864,372,000 $259,493,000 $592,235,000 $-118,746,000 $-79,704,000
2021 $10,583,397,000 $955,040,000 $326,896,000 $658,910,000 $516,403,000 $-164,573,000 $-396,047,000
2020 $10,000,708,000 $898,397,000 $711,292,000 $207,293,000 $455,590,000 $833,324,000 $746,786,000
2019 $8,900,094,000 $837,454,000 $642,011,000 $215,229,000 $386,521,000 $747,068,000 $-94,690,000
2018 $7,765,707,000 $747,298,000 $488,883,000 $277,926,000 $410,043,000 $503,108,000 $104,236,000
2017 $6,802,838,000 $719,001,000 $554,389,000 $180,615,000 $347,012,000 $-171,241,000 $-183,331,000