Recent Annual Filings for KRNY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,683,461,000 $328,868,000 $409,644,000 $-80,374,000 $43,971,000 $-308,744,000 $-6,651,000
2023 $8,064,815,000 $293,724,000 $241,345,000 $27,082,000 $69,549,000 $317,269,000 $-31,100,000
2022 $7,719,883,000 $2,580,000 $-89,767,000 $5,676,000 $81,301,000 $432,410,000 $33,760,000
2021 $7,283,735,000 $234,360,000 $149,864,000 $68,120,000 $75,417,000 $-104,558,000 $-113,112,000
2020 $6,758,175,000 $233,208,000 $175,956,000 $43,383,000 $19,821,000 $37,241,000 $142,032,000
2019 $6,634,829,000 $237,333,000 $181,264,000 $26,446,000 $39,923,000 $19,015,000 $-89,929,000
2018 $6,579,874,000 $171,431,000 $137,431,000 $35,706,000 $45,095,000 $6,979,000 $50,627,000
2017 $4,818,127,000 $139,093,000 $111,670,000 $36,434,000 $38,530,000 $294,055,000 $-120,963,000