Recent Annual Filings for NKSH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,811,636,000 $7,474,000 $-1,648,000 $10,724,000 $9,438,000 $-3,710,000 $21,514,000
2023 $1,655,370,000 $7,072,000 $-11,603,000 $34,591,000 $15,523,000 $-53,537,000 $15,174,000
2022 $1,677,551,000 $6,994,000 $-24,769,000 $-53,776,000 $29,500,000 $32,850,000 $-67,360,000
2021 $1,702,175,000 $6,653,000 $-17,980,000 $13,304,000 $22,882,000 $175,284,000 $-4,379,000
2020 $1,519,673,000 $5,654,000 $-13,500,000 $27,603,000 $13,793,000 $166,668,000 $2,857,000
2019 $1,321,837,000 $6,154,000 $-14,523,000 $21,045,000 $18,832,000 $40,254,000 $-2,592,000
2018 $1,256,032,000 $6,266,000 $-12,445,000 $13,761,000 $19,775,000 $-16,211,000 $-44,000
2017 $1,256,757,000 $41,260,000 $20,875,000 $14,774,000 $10,994,000 $8,151,000 $-1,048,000