Recent Annual Filings for KRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,091,767,000 $841,842,000 $729,588,000 $-11,521,000 $419,028,000 $172,085,000 $92,122,000
2023 $6,944,078,000 $823,004,000 $693,364,000 $26,375,000 $394,648,000 $-393,457,000 $-80,540,000
2022 $7,341,982,000 $801,996,000 $737,396,000 $79,117,000 $379,283,000 $-312,527,000 $21,607,000
2021 $7,639,575,000 $373,324,000 $426,057,000 $-66,052,000 $100,351,000 $44,459,000 $53,777,000
2020 $2,608,539,000 $266,645,000 $236,367,000 $-31,092,000 $95,515,000 $-20,902,000 $-6,227,000
2019 $2,648,887,000 $315,173,000 $243,416,000 $-13,160,000 $137,962,000 $-547,249,000 $7,307,000
2018 $3,172,013,000 $354,184,000 $333,153,000 $-53,098,000 $154,383,000 $-289,386,000 $13,330,000
2017 $3,512,498,000 $358,819,000 $294,074,000 $17,272,000 $153,658,000 $-149,324,000 $4,208,000