Recent Annual Filings for KRMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,218,515 $33,646,463 $39,710,203 $-6,066,633 $-319,718 $-248,533 $-1,901,293
2023 $28,460,972 $28,517,666 $38,291,248 $-13,741,062 $-4,892,553 $-218,867 $-5,926,017
2022 $42,332,443 $27,896,037 $38,571,197 $-8,661,142 $-5,404,549 $279,485 $-7,926,632
2021 $41,293,031 $23,490,175 $17,125,734 $-4,562,823 $-4,319,510 $2,705,282 $-1,980,397
2020 $39,918,934 $24,176,448 $25,370,711 $-1,212,063 $-743,323 $23,223,832 $21,444,357
2019 $13,881,861 $23,162,621 $22,466,203 $564,349 $320,620 $501,297 $2,132,126