Recent Annual Filings for KRUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $328,522,000 $237,860,000 $246,497,000 $-8,847,000 $15,612,000 $2,137,000 $-18,711,000
2023 $304,659,000 $187,429,000 $185,694,000 $1,545,000 $18,064,000 $65,754,000 $33,915,000
2022 $201,356,000 $141,089,000 $141,779,000 $-764,000 $23,694,000 $-170,000 $-4,648,000
2021 $177,669,000 $64,891,000 $75,080,000 $-10,295,000 $-7,146,000 $52,985,000 $31,171,000
2020 $118,379,000 $45,168,000 $61,352,000 $-17,358,000 $-13,004,000 $-1,004,000 $-28,785,000