Recent Annual Filings for KRYS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $818,355,000 $50,699,000 $37,802,000 $12,298,000 $-88,804,000 $202,750,000 $196,428,000
2022 $558,450,000 $-140,540,000 $-100,569,000 $35,347,000 $-179,346,000
2021 $626,295,000 $-69,739,000 $-47,938,000 $347,685,000 $72,977,000
2020 $310,844,000 $-32,171,000 $-26,083,000 $118,019,000 $80,755,000
2019 $209,023,000 $-19,080,000 $-18,713,000 $107,525,000 $83,844,000
2017 $50,114,000 $-7,920,000 $-3,890,000 $51,768,000 $47,668,000