Recent Annual Filings for KSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $13,559,000,000 $16,221,000,000 $16,107,000,000 $109,000,000 $648,000,000 $-230,000,000 $-49,000,000
2024 $14,009,000,000 $17,476,000,000 $17,103,000,000 $317,000,000 $1,168,000,000 $-576,000,000 $30,000,000
2023 $14,345,000,000 $18,098,000,000 $18,156,000,000 $-19,000,000 $282,000,000 $-933,000,000 $-1,434,000,000
2022 $15,054,000,000 $19,433,000,000 $18,214,000,000 $938,000,000 $2,271,000,000 $-2,385,000,000 $-684,000,000
2021 $15,337,000,000 $15,955,000,000 $16,501,000,000 $-163,000,000 $1,338,000,000 $347,000,000 $1,548,000,000
2020 $14,555,000,000 $19,974,000,000 $19,073,000,000 $691,000,000 $1,657,000,000 $-1,031,000,000 $-211,000,000
2019 $12,469,000,000 $20,229,000,000 $19,187,000,000 $812,000,000 $2,107,000,000 $-1,909,000,000 $-374,000,000
2018 $13,340,000,000 $19,095,000,000 $17,978,000,000 $862,000,000 $1,691,000,000 $-808,000,000 $234,000,000