Recent Annual Filings for KRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $294,522,000 $422,633,000 $381,938,000 $30,824,000 $47,982,000 $-33,619,000 $8,508,000
2023 $276,397,000 $405,651,000 $362,667,000 $33,180,000 $53,379,000 $-16,170,000 $7,035,000
2022 $252,175,000 $422,957,000 $390,444,000 $25,837,000 $29,474,000 $-2,071,000 $9,558,000
2021 $207,599,000 $364,244,000 $336,716,000 $22,439,000 $8,679,000 $10,637,000 $6,035,000