
KPLC
Data as of Jan 16, 2026
| Item | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|
Cash Generated from Operating Activities | 40.01B | 28.91B | 33.00B | 32.73B |
Cash used in Financing Activities | -12.94B | -11.29B | -8.77B | -14.51B |
Cash used in Investing Activities | -29.60B | -24.84B | -13.68B | -12.24B |
Ungrouped | 10.21B | 17.57B | 7.88B | 5.98B |
| Total Cash Flow | 7.69 B | 10.35 B | 18.43 B | 11.95 B |
Calculate investment returns based on past performance
Note, past performance is not indicative of futture performance