Recent Annual Filings for KRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,913,500,000 $1,887,100,000 $1,737,500,000 $63,800,000 $72,500,000 $26,500,000 $-87,400,000
2023 $1,838,000,000 $1,666,500,000 $1,739,400,000 $-58,700,000 $5,500,000 $-91,600,000 $-132,500,000
2022 $1,934,400,000 $1,930,200,000 $1,796,300,000 $177,100,000 $81,700,000 $-91,500,000 $-78,000,000
2021 $2,012,800,000 $1,939,400,000 $1,786,000,000 $157,000,000 $206,500,000 $-86,700,000 $50,600,000
2020 $2,036,700,000 $1,638,800,000 $1,558,800,000 $64,500,000 $102,500,000 $-85,300,000 $-30,300,000
2019 $1,965,800,000 $1,731,100,000 $1,610,000,000 $62,600,000 $160,300,000 $-87,900,000 $17,600,000
2018 $1,898,100,000 $1,661,900,000 $1,368,100,000 $164,200,000 $188,500,000 $-80,400,000 $51,000,000
2017 $1,824,400,000 $1,729,000,000 $1,423,300,000 $428,600,000 $276,100,000 $58,800,000 $271,400,000