Recent Annual Filings for KRON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $124,363,000 $9,848,000 $102,735,000 $-86,089,000 $-65,435,000 $245,000 $20,245,000
2023 $213,279,000 $6,288,000 $128,118,000 $-111,862,000 $-78,582,000 $567,000 $-11,647,000
2022 $294,938,000 $-133,957,000 $-90,926,000 $851,000 $-122,297,000
2021 $391,476,000 $-151,098,000 $-117,924,000 $4,460,000 $-49,740,000
2020 $511,964,000 $-88,445,000 $-37,912,000 $415,613,000 $217,466,000