Recent Annual Filings for KYMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $978,035,000 $47,072,000 $270,930,000 $-224,791,000 $-194,501,000 $608,851,000 $10,273,000
2023 $575,759,000 $78,592,000 $225,554,000 $-142,565,000 $-102,826,000 $4,192,000 $41,252,000
2022 $603,134,000 $46,826,000 $201,634,000 $-159,097,000 $-153,085,000 $152,999,000 $20,433,000
2021 $605,905,000 $72,832,000 $173,049,000 $-100,749,000 $-128,946,000 $250,280,000 $21,499,000
2020 $487,175,000 $34,034,000 $79,627,000 $-45,727,000 $88,130,000 $289,262,000 $-45,196,000