Recent Annual Filings for KVHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $155,081,000 $113,828,000 $125,711,000 $-10,895,000 $-13,170,000 $110,000 $39,278,000
2023 $172,634,000 $132,379,000 $149,724,000 $-15,497,000 $2,530,000 $2,343,000 $-9,762,000
2022 $200,530,000 $138,878,000 $144,532,000 $23,400,000 $8,894,000 $708,000 $9,680,000
2021 $168,794,000 $171,767,000 $189,713,000 $-9,763,000 $2,909,000 $2,645,000 $-1,202,000
2020 $183,591,000 $158,733,000 $181,670,000 $-21,940,000 $-3,079,000 $7,129,000 $-5,787,000
2019 $199,391,000 $157,893,000 $178,989,000 $33,255,000 $-14,165,000 $-30,756,000 $315,000
2018 $187,652,000 $170,761,000 $177,925,000 $-8,232,000 $5,184,000 $-13,266,000 $-16,546,000
2017 $196,239,000 $160,088,000 $168,852,000 $-11,034,000 $11,527,000 $-9,747,000 $8,174,000