Kansas City Life Insurance Key Executives
This section highlights Kansas City Life Insurance's key executives, including their titles and compensation details.
Find Contacts at Kansas City Life Insurance
( total contacts)
Kansas City Life Insurance Earnings
This section highlights Kansas City Life Insurance's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.
Next Earnings Date
Last Earnings Results
Earnings Call Transcripts
Transcript | Quarter | Year | Date | Estimated EPS | Actual EPS |
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Kansas City Life Insurance Company provides insurance products and services in 49 states and the District of Columbia. It offers a portfolio of individual insurance, annuity, and group life and health insurance; and traditional life insurance, immediate annuities with life contingencies, supplementary contracts with life contingencies, and accident and health insurance. Kansas City Life Insurance Company was incorporated in 1985 and is based in Kansas City, Missouri.
$33.01
Stock Price
$319.64M
Market Cap
-
Employees
Kansas City, MO
Location
Financial Statements
Access annual & quarterly financial statements for Kansas City Life Insurance, including income statements, balance sheets, and cash flow statements..
Annual Income Statement
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 |
---|---|---|---|---|---|
Revenue | $490.74M | $558.92M | $475.95M | $511.25M | $523.91M |
Cost of Revenue | $- | $319.63M | $- | $- | $- |
Gross Profit | $490.74M | $239.29M | $475.95M | $511.25M | $523.91M |
Gross Profit Ratio | 100.00% | 42.81% | 100.00% | 100.00% | 100.00% |
Research and Development Expenses | $- | $- | $- | $- | $- |
General and Administrative Expenses | $- | $- | $- | $- | $- |
Selling and Marketing Expenses | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $- | $115.15M | $125.43M | $104.56M | $106.09M |
Other Expenses | $490.74M | $- | $-496.70M | $-511.09M | $-513.91M |
Operating Expenses | $490.74M | $115.15M | $-496.70M | $-511.09M | $-513.91M |
Cost and Expenses | $490.74M | $115.15M | $496.70M | $498.33M | $508.00M |
Interest Income | $- | $- | $- | $- | $- |
Interest Expense | $- | $- | $- | $- | $- |
Depreciation and Amortization | $3.52M | $5.25M | $6.59M | $7.97M | $8.54M |
EBITDA | $- | $- | $-14.16M | $- | $24.45M |
EBITDA Ratio | 0.00% | 0.00% | -2.98% | 1.59% | 3.54% |
Operating Income | $- | $- | $-20.76M | $160.00K | $10.00M |
Operating Income Ratio | 0.00% | 0.00% | -4.36% | 0.03% | 1.91% |
Total Other Income Expenses Net | $-6.33M | $69.31M | $-6.59M | $-393.83M | $-8.54M |
Income Before Tax | $-6.33M | $69.31M | $-20.76M | $12.92M | $15.91M |
Income Before Tax Ratio | -1.29% | 12.40% | -4.36% | 2.53% | 3.04% |
Income Tax Expense | $-1.36M | $14.39M | $-4.54M | $2.22M | $744.00K |
Net Income | $-4.96M | $54.92M | $-16.22M | $10.70M | $15.17M |
Net Income Ratio | -1.01% | 9.83% | -3.41% | 2.09% | 2.90% |
EPS | $-0.51 | $5.67 | $-1.67 | $1.11 | $1.57 |
EPS Diluted | $-0.51 | $5.67 | $-1.67 | $1.11 | $1.57 |
Weighted Average Shares Outstanding | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M |
Weighted Average Shares Outstanding Diluted | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M |
SEC Filing | Source | Source | Source | Source | Source |
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Revenue | $115.63M | $125.15M | $122.51M | $127.31M | $122.45M | $122.60M | $124.03M | $126.02M | $122.06M | $120.05M | $114.58M | $119.30M | $142.82M | $121.21M | $124.89M | $122.33M | $126.10M | $128.00M | $146.77M | $123.03M |
Cost of Revenue | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $16.13M | $279.00K | $55.00K | $- | $14.65M | $- | $- | $- |
Gross Profit | $115.63M | $125.15M | $122.51M | $127.31M | $122.45M | $122.60M | $124.03M | $126.02M | $122.06M | $120.05M | $114.58M | $119.30M | $126.69M | $120.93M | $124.84M | $122.33M | $111.45M | $128.00M | $146.77M | $123.03M |
Gross Profit Ratio | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 100.00% | 88.70% | 99.80% | 100.00% | 100.00% | 88.38% | 100.00% | 100.00% | 100.00% |
Research and Development Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
General and Administrative Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Selling and Marketing Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $- | $- | $27.16M | $- | $32.66M | $27.91M | $27.78M | $26.80M | $52.29M | $24.13M | $21.27M | $27.74M | $27.00M | $25.75M | $25.25M | $26.56M | $25.88M | $25.11M | $28.65M | $26.46M |
Other Expenses | $115.63M | $125.19M | $-35.52M | $-38.54M | $-40.93M | $-118.18M | $-119.71M | $-130.13M | $-143.73M | $-114.74M | $-109.54M | $-128.73M | $-111.40M | $-127.92M | $-119.57M | $-122.97M | $-115.40M | $-129.03M | $-125.46M | $-123.45M |
Operating Expenses | $115.63M | $125.19M | $35.52M | $38.54M | $40.93M | $-118.18M | $-119.71M | $-130.13M | $-143.73M | $-114.74M | $-109.54M | $-128.73M | $-111.40M | $-127.92M | $-119.57M | $-122.97M | $-115.40M | $-129.03M | $-125.46M | $-123.45M |
Cost and Expenses | $115.63M | $125.19M | $-116.55M | $-125.34M | $-124.45M | $116.75M | $118.38M | $130.13M | $143.73M | $114.74M | $109.54M | $128.73M | $127.53M | $128.20M | $119.62M | $122.97M | $130.05M | $129.03M | $125.46M | $123.45M |
Interest Income | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Interest Expense | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Depreciation and Amortization | $865.00K | $923.00K | $2.58M | $846.00M | $1.10M | $1.21M | $1.43M | $1.52M | $1.48M | $1.58M | $1.67M | $1.87M | $2.03M | $1.95M | $2.03M | $1.95M | $2.06M | $2.10M | $2.16M | $2.22M |
EBITDA | $- | $2.59M | $1.69M | $846.00M | $- | $7.05M | $7.08M | $-2.59M | $- | $6.89M | $6.71M | $-7.56M | $17.32M | $-5.04M | $7.30M | $1.31M | $- | $1.07M | $23.47M | $1.81M |
EBITDA Ratio | 0.00% | 2.07% | 2.11% | 664.53% | 0.90% | 4.59% | 4.64% | -2.05% | -16.55% | 5.74% | 5.85% | -6.34% | 12.13% | -4.16% | 5.85% | 1.07% | -1.50% | 0.83% | 15.99% | 1.47% |
Operating Income | $- | $1.67M | $95.35M | $845.96M | $61.92M | $4.42M | $4.33M | $-4.11M | $-21.67M | $5.31M | $5.04M | $-9.43M | $15.29M | $-6.99M | $5.27M | $-643.00K | $-3.96M | $-1.03M | $21.31M | $-411.00K |
Operating Income Ratio | 0.00% | 1.33% | 77.83% | 664.50% | 50.57% | 3.60% | 3.49% | -3.26% | -17.76% | 4.42% | 4.40% | -7.91% | 10.70% | -5.77% | 4.22% | -0.53% | -3.14% | -0.80% | 14.52% | -0.33% |
Total Other Income Expenses Net | $-15.93M | $- | $-89.39M | $-95.91M | $-91.79M | $-88.87M | $-1.43M | $-1.52M | $-21.67M | $-90.56M | $-1.67M | $-1.87M | $-2.03M | $-1.95M | $-2.03M | $-1.95M | $-3.96M | $-103.92M | $-2.16M | $-2.22M |
Income Before Tax | $-15.93M | $1.67M | $5.97M | $1.96M | $61.92M | $5.84M | $5.66M | $-4.11M | $-21.67M | $5.31M | $5.04M | $-9.43M | $15.29M | $-6.99M | $5.27M | $-643.00K | $-3.96M | $-1.03M | $21.31M | $-411.00K |
Income Before Tax Ratio | -13.77% | 1.33% | 4.87% | 1.54% | 50.57% | 4.76% | 4.56% | -3.26% | -17.76% | 4.42% | 4.40% | -7.91% | 10.70% | -5.77% | 4.22% | -0.53% | -3.14% | -0.80% | 14.52% | -0.33% |
Income Tax Expense | $-3.35M | $348.00K | $1.23M | $410.00K | $12.82M | $1.24M | $1.19M | $-870.00K | $-4.33M | $994.00K | $556.00K | $-1.76M | $2.19M | $-983.00K | $981.00K | $25.00K | $-3.21M | $171.00K | $4.34M | $-561.00K |
Net Income | $-12.57M | $1.32M | $4.74M | $1.55M | $49.10M | $4.60M | $4.46M | $-3.24M | $-17.34M | $4.32M | $4.49M | $-7.68M | $13.09M | $-6.01M | $4.29M | $-668.00K | $-750.00K | $-1.20M | $16.97M | $150.00K |
Net Income Ratio | -10.88% | 1.06% | 3.86% | 1.22% | 40.10% | 3.75% | 3.60% | -2.57% | -14.21% | 3.59% | 3.91% | -6.43% | 9.17% | -4.96% | 3.43% | -0.55% | -0.59% | -0.94% | 11.56% | 0.12% |
EPS | $-1.30 | $0.14 | $0.49 | $0.16 | $5.07 | $0.47 | $0.46 | $-0.33 | $-1.79 | $0.45 | $0.46 | $-0.79 | $1.35 | $-0.62 | $0.44 | $-0.07 | $-0.08 | $-0.12 | $1.75 | $0.02 |
EPS Diluted | $-1.30 | $0.14 | $0.49 | $0.16 | $5.07 | $0.47 | $0.46 | $-0.33 | $-1.79 | $0.45 | $0.46 | $-0.79 | $1.35 | $-0.62 | $0.44 | $-0.07 | $-0.08 | $-0.12 | $1.75 | $0.02 |
Weighted Average Shares Outstanding | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M |
Weighted Average Shares Outstanding Diluted | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M | 9.68M |
SEC Filing | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source |
Annual Balance Sheet
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 |
---|---|---|---|---|---|
Cash and Cash Equivalents | $8.10M | $9.70M | $7.77M | $5.42M | $7.20M |
Short Term Investments | $266.25M | $277.21M | $2.26B | $3.16B | $3.24B |
Cash and Short Term Investments | $274.35M | $9.70M | $2.27B | $3.17B | $3.25B |
Net Receivables | $404.19M | $- | $- | $- | $- |
Inventory | $- | $- | $-184.14M | $-233.20M | $-278.89M |
Other Current Assets | $-678.54M | $212.81M | $- | $- | $- |
Total Current Assets | $- | $212.81M | $2.66B | $3.57B | $3.64B |
Property Plant Equipment Net | $13.47M | $13.28M | $14.01M | $16.35M | $19.38M |
Goodwill | $- | $42.30M | $42.30M | $42.30M | $42.30M |
Intangible Assets | $- | $16.90M | $363.70M | $317.60M | $302.87M |
Goodwill and Intangible Assets | $- | $59.20M | $406.00M | $359.90M | $345.17M |
Long Term Investments | $2.42B | $27.49M | $2.27B | $3.17B | $3.27B |
Tax Assets | $- | $- | $1.88B | $2.83B | $2.94B |
Other Non-Current Assets | $-2.43B | $4.33B | $-2.28B | $-3.19B | $-3.29B |
Total Non-Current Assets | $- | $4.43B | $2.28B | $3.19B | $3.29B |
Other Assets | $5.02B | $1 | $21.74M | $-1.32B | $-1.46B |
Total Assets | $5.02B | $4.64B | $4.97B | $5.43B | $5.46B |
Account Payables | $- | $- | $- | $- | $- |
Short Term Debt | $- | $- | $- | $- | $- |
Tax Payables | $- | $- | $- | $- | $- |
Deferred Revenue | $- | $- | $- | $- | $- |
Other Current Liabilities | $- | $- | $- | $- | $- |
Total Current Liabilities | $- | $- | $-332.64M | $-330.16M | $-320.10M |
Long Term Debt | $- | $- | $- | $- | $- |
Deferred Revenue Non-Current | $- | $- | $- | $- | $- |
Deferred Tax Liabilities Non-Current | $- | $- | $- | $- | $- |
Other Non-Current Liabilities | $- | $4.38B | $4.47B | $4.60B | $4.55B |
Total Non-Current Liabilities | $- | $4.38B | $4.42B | $4.53B | $4.48B |
Other Liabilities | $4.44B | $- | $- | $- | $- |
Total Liabilities | $4.44B | $4.44B | $4.08B | $4.20B | $4.16B |
Preferred Stock | $- | $- | $- | $- | $- |
Common Stock | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M |
Retained Earnings | $948.99M | $959.37M | $910.44M | $933.34M | $933.09M |
Accumulated Other Comprehensive Income Loss | $-190.38M | $-172.86M | $-241.59M | $74.25M | $152.80M |
Other Total Stockholders Equity | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M |
Total Stockholders Equity | $581.45M | $609.36M | $491.69M | $830.43M | $908.74M |
Total Equity | $581.45M | $609.36M | $491.69M | $830.43M | $908.74M |
Total Liabilities and Stockholders Equity | $5.02B | $4.64B | $4.97B | $5.43B | $5.46B |
Minority Interest | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $5.02B | $4.64B | $4.97B | $5.43B | $5.46B |
Total Investments | $3.22B | $199.13M | $3.10B | $4.00B | $4.11B |
Total Debt | $- | $- | $- | $- | $- |
Net Debt | $-8.10M | $-9.70M | $-7.77M | $-5.42M | $-7.20M |
Balance Sheet Charts
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash and Cash Equivalents | $8.10M | $7.58M | $7.30M | $6.95M | $9.70M | $8.15M | $7.34M | $5.37M | $7.77M | $7.28M | $6.07M | $4.37M | $5.42M | $4.54M | $7.74M | $6.50M | $7.20M | $7.98M | $5.08M | $5.39M |
Short Term Investments | $266.25M | $238.02M | $138.66M | $155.91M | $171.64M | $225.92M | $2.30B | $2.35B | $2.26B | $2.21B | $2.31B | $2.96B | $3.16B | $3.13B | $3.13B | $3.09B | $3.24B | $3.22B | $3.19B | $2.98B |
Cash and Short Term Investments | $274.35M | $144.69M | $244.75M | $264.32M | $286.91M | $234.07M | $2.31B | $2.35B | $2.27B | $2.22B | $2.32B | $2.96B | $3.17B | $3.13B | $3.14B | $3.10B | $3.25B | $3.22B | $3.19B | $2.98B |
Net Receivables | $404.19M | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $391.44M | $390.53M | $384.31M | $383.13M |
Inventory | $- | $- | $-663.89M | $-676.52M | $-696.12M | $-162.16M | $-179.95M | $-165.75M | $-184.14M | $-171.69M | $-189.17M | $-236.50M | $-233.20M | $-220.34M | $-215.98M | $-216.17M | $- | $- | $- | $- |
Other Current Assets | $-678.54M | $179.17M | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Current Assets | $- | $323.87M | $178.83M | $197.17M | $212.81M | $637.40M | $2.71B | $2.74B | $2.66B | $2.61B | $2.72B | $3.36B | $3.57B | $3.52B | $3.53B | $3.49B | $3.64B | $3.62B | $3.58B | $3.37B |
Property Plant Equipment Net | $13.47M | $- | $- | $- | $13.28M | $- | $- | $- | $14.01M | $- | $- | $- | $16.35M | $- | $- | $- | $19.38M | $- | $- | $- |
Goodwill | $- | $- | $- | $- | $42.30M | $- | $- | $- | $42.30M | $- | $- | $- | $42.30M | $- | $- | $- | $42.30M | $42.30M | $42.30M | $42.30M |
Intangible Assets | $- | $- | $307.58M | $- | $339.36M | $327.95M | $320.53M | $319.06M | $363.70M | $333.70M | $318.77M | $311.23M | $317.60M | $287.69M | $285.94M | $288.98M | $302.87M | $295.28M | $295.86M | $313.50M |
Goodwill and Intangible Assets | $- | $- | $307.58M | $- | $42.30M | $327.95M | $320.53M | $319.06M | $406.00M | $333.70M | $318.77M | $311.23M | $359.90M | $287.69M | $285.94M | $288.98M | $345.17M | $337.58M | $338.16M | $355.80M |
Long Term Investments | $2.42B | $2.50B | $2.39B | $2.44B | $27.49M | $2.22B | $2.30B | $2.35B | $2.27B | $2.22B | $2.32B | $2.96B | $3.17B | $3.13B | $3.14B | $3.10B | $3.27B | $3.22B | $3.20B | $2.98B |
Tax Assets | $- | $- | $- | $- | $3.43B | $- | $- | $- | $1.88B | $- | $- | $- | $2.83B | $- | $- | $- | $2.94B | $- | $- | $- |
Other Non-Current Assets | $-2.43B | $1.98B | $1.70B | $2.01B | $917.82M | $-327.95M | $-320.53M | $-319.06M | $-2.28B | $-333.70M | $-318.77M | $-311.23M | $-3.19B | $-287.69M | $-285.94M | $-288.98M | $-3.29B | $-337.58M | $-338.16M | $-355.80M |
Total Non-Current Assets | $- | $4.49B | $4.39B | $4.45B | $4.43B | $2.22B | $2.30B | $2.35B | $2.28B | $2.22B | $2.32B | $2.96B | $3.19B | $3.13B | $3.14B | $3.10B | $3.29B | $3.22B | $3.20B | $2.98B |
Other Assets | $5.02B | $261.99M | $1 | $- | $1 | $2.00B | $-42.64M | $-84.46M | $21.74M | $128.96M | $10.79M | $-1.10B | $-1.32B | $-1.26B | $-1.26B | $-1.26B | $-1.46B | $-1.46B | $-1.46B | $-1.26B |
Total Assets | $5.02B | $5.07B | $4.57B | $4.64B | $4.64B | $4.86B | $4.97B | $5.01B | $4.97B | $4.95B | $5.05B | $5.22B | $5.43B | $5.39B | $5.41B | $5.34B | $5.46B | $5.38B | $5.31B | $5.09B |
Account Payables | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Short Term Debt | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Tax Payables | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Deferred Revenue | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Current Liabilities | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Current Liabilities | $- | $- | $-353.05M | $-343.72M | $-349.92M | $-353.12M | $-349.93M | $-319.54M | $-332.64M | $-325.95M | $-336.10M | $-315.55M | $-330.16M | $-321.78M | $-328.13M | $-327.44M | $- | $- | $- | $- |
Long Term Debt | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Deferred Revenue Non-Current | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Deferred Tax Liabilities Non-Current | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Non-Current Liabilities | $- | $4.36B | $4.42B | $4.47B | $4.44B | $4.41B | $4.47B | $4.48B | $4.47B | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Non-Current Liabilities | $- | $4.36B | $4.35B | $4.40B | $4.38B | $4.36B | $4.41B | $4.40B | $4.42B | $4.39B | $4.41B | $4.45B | $4.53B | $4.49B | $4.49B | $4.45B | $- | $- | $- | $- |
Other Liabilities | $4.44B | $4.42B | $- | $- | $- | $- | $- | $- | $- | $390.77M | $401.33M | $396.81M | $399.95M | $389.75M | $391.79M | $395.11M | $4.55B | $4.48B | $4.42B | $4.31B |
Total Liabilities | $4.44B | $4.42B | $4.00B | $4.05B | $4.03B | $4.00B | $4.06B | $4.09B | $4.08B | $4.45B | $4.47B | $4.53B | $4.60B | $4.56B | $4.56B | $4.51B | $4.55B | $4.48B | $4.42B | $4.31B |
Preferred Stock | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Common Stock | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M | $23.12M |
Retained Earnings | $948.99M | $962.92M | $962.95M | $959.57M | $959.37M | $911.48M | $908.24M | $905.13M | $910.44M | $929.14M | $926.18M | $923.05M | $933.34M | $922.86M | $931.48M | $929.81M | $933.09M | $936.46M | $940.27M | $925.93M |
Accumulated Other Comprehensive Income Loss | $-190.38M | $-132.87M | $-210.11M | $-192.22M | $-172.86M | $-285.98M | $-225.20M | $-199.78M | $-241.59M | $-254.14M | $-165.08M | $-56.79M | $74.25M | $90.09M | $102.69M | $71.61M | $152.80M | $141.02M | $128.36M | $30.86M |
Other Total Stockholders Equity | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M | $-200.28M |
Total Stockholders Equity | $581.45M | $652.89M | $575.69M | $590.20M | $609.36M | $448.35M | $505.88M | $528.19M | $491.69M | $497.84M | $583.94M | $689.11M | $830.43M | $835.80M | $857.02M | $824.27M | $908.74M | $900.33M | $891.48M | $779.63M |
Total Equity | $581.45M | $652.89M | $575.69M | $590.20M | $609.36M | $448.35M | $505.88M | $528.19M | $491.69M | $497.84M | $583.94M | $689.11M | $830.43M | $835.80M | $857.02M | $824.27M | $908.74M | $900.33M | $891.48M | $779.63M |
Total Liabilities and Stockholders Equity | $5.02B | $5.07B | $4.57B | $4.64B | $4.64B | $4.86B | $4.97B | $5.01B | $4.97B | $4.95B | $5.05B | $5.22B | $5.43B | $5.39B | $5.41B | $5.34B | $5.46B | $5.38B | $5.31B | $5.09B |
Minority Interest | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $5.02B | $5.07B | $4.57B | $4.64B | $4.64B | $4.86B | $4.97B | $5.01B | $4.97B | $4.95B | $5.05B | $5.22B | $5.43B | $5.39B | $5.41B | $5.34B | $5.46B | $5.38B | $5.31B | $5.09B |
Total Investments | $3.22B | $3.30B | $138.66M | $155.91M | $199.13M | $3.03B | $3.13B | $3.17B | $3.10B | $3.07B | $3.16B | $3.81B | $4.00B | $4.00B | $4.01B | $3.96B | $4.11B | $4.07B | $4.04B | $3.85B |
Total Debt | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Net Debt | $-8.10M | $-7.58M | $-7.30M | $-6.95M | $-9.70M | $-8.15M | $-7.34M | $-5.37M | $-7.77M | $-7.28M | $-6.07M | $-4.37M | $-5.42M | $-4.54M | $-7.74M | $-6.50M | $-7.20M | $-7.98M | $-5.08M | $-5.39M |
Annual Cash Flow
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 |
---|---|---|---|---|---|
Net Income | $-4.96M | $54.92M | $-16.22M | $10.70M | $15.17M |
Depreciation and Amortization | $3.52M | $5.25M | $6.59M | $7.97M | $8.54M |
Deferred Income Tax | $- | $- | $- | $-1.50M | $-600.00K |
Stock Based Compensation | $- | $- | $1.10M | $1.50M | $600.00K |
Change in Working Capital | $-83.18M | $-66.08M | $-65.01M | $-31.73M | $-17.06M |
Accounts Receivables | $5.02M | $- | $10.34M | $-8.51M | $-12.67M |
Inventory | $- | $- | $- | $- | $- |
Accounts Payables | $- | $- | $- | $- | $- |
Other Working Capital | $-88.20M | $-66.08M | $-75.35M | $-23.22M | $-4.39M |
Other Non Cash Items | $26.25M | $-44.63M | $20.31M | $-33.26M | $-754.00K |
Net Cash Provided by Operating Activities | $-58.37M | $-50.54M | $-54.33M | $-46.32M | $5.89M |
Investments in Property Plant and Equipment | $-1.31M | $-916.00K | $-535.00K | $-628.00K | $-1.82M |
Acquisitions Net | $- | $- | $25.00K | $28.47M | $25.00K |
Purchases of Investments | $-267.35M | $-379.39M | $-455.87M | $-440.78M | $-391.87M |
Sales Maturities of Investments | $239.97M | $273.43M | $365.64M | $361.58M | $353.27M |
Other Investing Activities | $15.68M | $104.28M | $1.57M | $43.51M | $6.37M |
Net Cash Used for Investing Activities | $-13.01M | $-2.60M | $-89.17M | $-7.86M | $-34.02M |
Debt Repayment | $- | $- | $- | $- | $- |
Common Stock Issued | $- | $- | $- | $- | $- |
Common Stock Repurchased | $- | $- | $- | $- | $- |
Dividends Paid | $-5.42M | $-5.42M | $-6.68M | $-10.46M | $-10.46M |
Other Financing Activities | $75.20M | $60.49M | $152.54M | $62.85M | $31.56M |
Net Cash Used Provided by Financing Activities | $69.78M | $55.07M | $145.85M | $52.40M | $21.10M |
Effect of Forex Changes on Cash | $- | $- | $- | $- | $- |
Net Change in Cash | $-1.59M | $1.93M | $2.35M | $-1.78M | $-7.03M |
Cash at End of Period | $8.10M | $9.70M | $7.77M | $5.42M | $7.20M |
Cash at Beginning of Period | $9.70M | $7.77M | $5.42M | $7.20M | $14.23M |
Operating Cash Flow | $-58.37M | $-50.54M | $-54.33M | $-46.32M | $5.89M |
Capital Expenditure | $-1.31M | $-916.00K | $-535.00K | $-628.00K | $-1.82M |
Free Cash Flow | $-59.67M | $-51.45M | $-54.87M | $-46.95M | $4.08M |
Cash Flow Charts
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | $-12.57M | $1.32M | $4.74M | $1.55M | $49.10M | $4.60M | $4.46M | $-3.24M | $-17.34M | $4.32M | $4.49M | $-7.68M | $13.09M | $-6.01M | $4.29M | $-668.00K | $-750.00K | $-1.20M | $16.97M | $150.00K |
Depreciation and Amortization | $865.00K | $923.00K | $2.58M | $846.00M | $1.10M | $1.21M | $1.43M | $1.52M | $1.48M | $1.58M | $1.67M | $1.87M | $2.03M | $1.95M | $2.03M | $1.95M | $2.06M | $2.10M | $2.16M | $2.22M |
Deferred Income Tax | $- | $- | $- | $- | $- | $- | $- | $- | $1.00M | $-200.00K | $-1.00M | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Stock Based Compensation | $- | $- | $- | $- | $300.00K | $- | $- | $- | $100.00K | $200.00K | $1.00M | $100.00K | $300.00K | $100.00K | $400.00K | $1.00M | $500.00K | $100.00K | $- | $- |
Change in Working Capital | $-18.80M | $-15.27M | $-54.27M | $-7.59M | $11.83M | $-17.29M | $-22.56M | $-24.64M | $-21.41M | $-3.84M | $-19.72M | $-20.04M | $-18.66M | $-1.71M | $143.00K | $-11.50M | $-5.55M | $-7.41M | $330.00K | $-4.42M |
Accounts Receivables | $2.49M | $- | $-6.95M | $-2.98M | $-5.73M | $3.77M | $-765.00K | $-5.79M | $1.16M | $10.56M | $-4.52M | $3.14M | $-10.21M | $2.04M | $3.32M | $-3.67M | $-909.00K | $-6.22M | $-1.18M | $-4.36M |
Inventory | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Accounts Payables | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Working Capital | $-21.29M | $-15.27M | $-36.51M | $- | $17.56M | $-21.06M | $-21.80M | $-18.85M | $-22.56M | $-14.41M | $-15.20M | $-23.18M | $-8.46M | $-3.75M | $-3.18M | $-7.84M | $-4.65M | $-1.19M | $1.51M | $-70.00K |
Other Non Cash Items | $30.86M | $2.43M | $6.29M | $849.74M | $-58.88M | $-6.04M | $-14.60M | $21.46M | $26.21M | $3.13M | $-19.05M | $10.03M | $-21.37M | $9.50M | $-11.11M | $-10.28M | $7.95M | $3.44M | $-15.58M | $3.44M |
Net Cash Provided by Operating Activities | $349.00K | $-10.60M | $-45.83M | $-2.29M | $3.15M | $-17.52M | $-31.27M | $-4.90M | $-11.06M | $5.17M | $-32.62M | $-15.82M | $-24.91M | $3.73M | $-4.64M | $-20.50M | $3.70M | $-3.08M | $3.88M | $1.39M |
Investments in Property Plant and Equipment | $-44.00K | $-870.00K | $-258.00K | $-134.00K | $151.00K | $-634.00K | $-216.00K | $-217.00K | $-30.00K | $-117.00K | $-369.00K | $-19.00K | $-68.00K | $-38.00K | $-319.00K | $-203.00K | $-305.00K | $-492.00K | $-534.00K | $-488.00K |
Acquisitions Net | $- | $- | $- | $- | $-48.00K | $- | $37.00K | $31.00K | $21.00K | $- | $4.00K | $- | $28.47M | $64.00K | $-29.00K | $35.00K | $- | $- | $- | $- |
Purchases of Investments | $-51.43M | $-73.33M | $-73.62M | $-95.24M | $-226.53M | $-53.16M | $-22.71M | $-86.01M | $-63.74M | $-124.44M | $-178.47M | $-89.22M | $-148.66M | $-91.28M | $-82.48M | $-118.36M | $-81.80M | $-102.77M | $-112.72M | $-94.58M |
Sales Maturities of Investments | $38.73M | $59.24M | $114.02M | $74.09M | $214.40M | $45.67M | $36.49M | $57.87M | $33.32M | $100.49M | $147.48M | $84.34M | $71.48M | $67.97M | $97.00M | $125.12M | $83.42M | $101.29M | $67.16M | $101.41M |
Other Investing Activities | $-4.16M | $- | $40.40M | $- | $-12.18M | $17.35M | $4.29M | $10.64M | $20.94M | $-10.94M | $8.11M | $-16.54M | $78.41M | $3.47M | $-13.15M | $3.25M | $-12.83M | $-3.27M | $39.09M | $-16.60M |
Net Cash Used for Investing Activities | $-16.90M | $-14.96M | $40.14M | $-21.28M | $-12.03M | $9.23M | $17.89M | $-17.68M | $-9.48M | $-35.01M | $-23.25M | $-21.44M | $1.17M | $-19.88M | $1.05M | $9.80M | $-11.52M | $-5.24M | $-7.01M | $-10.25M |
Debt Repayment | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Common Stock Issued | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Common Stock Repurchased | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Dividends Paid | $-1.36M | $-1.36M | $-1.35M | $-1.36M | $-1.35M | $-1.36M | $-1.35M | $-1.36M | $-1.36M | $-1.36M | $-1.35M | $-2.62M | $-2.61M | $-2.62M | $-2.61M | $-2.62M | $-2.61M | $-2.62M | $-2.62M | $-2.60M |
Other Financing Activities | $18.43M | $27.19M | $7.39M | $22.19M | $11.78M | $10.46M | $16.71M | $21.54M | $22.39M | $32.40M | $58.92M | $38.82M | $27.24M | $15.55M | $7.44M | $12.62M | $9.65M | $13.83M | $5.45M | $2.63M |
Net Cash Used Provided by Financing Activities | $17.08M | $25.83M | $6.04M | $20.83M | $10.43M | $9.10M | $15.35M | $20.19M | $21.04M | $31.04M | $57.57M | $36.21M | $24.62M | $12.94M | $4.83M | $10.00M | $7.04M | $11.21M | $2.82M | $22.00K |
Effect of Forex Changes on Cash | $- | $- | $- | $- | $1 | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Net Change in Cash | $526.00K | $275.00K | $350.00K | $-2.75M | $1.54M | $810.00K | $1.97M | $-2.40M | $492.00K | $1.21M | $1.70M | $-1.05M | $884.00K | $-3.20M | $1.24M | $-701.00K | $-779.00K | $2.90M | $-311.00K | $-8.84M |
Cash at End of Period | $8.10M | $7.58M | $7.30M | $6.95M | $9.70M | $8.15M | $7.34M | $5.37M | $7.77M | $7.28M | $6.07M | $4.37M | $5.42M | $4.54M | $7.74M | $6.50M | $7.20M | $7.98M | $5.08M | $5.39M |
Cash at Beginning of Period | $7.58M | $7.30M | $6.95M | $9.70M | $8.15M | $7.34M | $5.37M | $7.77M | $7.28M | $6.07M | $4.37M | $5.42M | $4.54M | $7.74M | $6.50M | $7.20M | $7.98M | $5.08M | $5.39M | $14.23M |
Operating Cash Flow | $349.00K | $-10.60M | $-45.83M | $-2.29M | $3.15M | $-17.52M | $-31.27M | $-4.90M | $-11.06M | $5.17M | $-32.62M | $-15.82M | $-24.91M | $3.73M | $-4.64M | $-20.50M | $3.70M | $-3.08M | $3.88M | $1.39M |
Capital Expenditure | $-44.00K | $-870.00K | $-258.00K | $-134.00K | $151.00K | $-634.00K | $-216.00K | $-217.00K | $-30.00K | $-117.00K | $-369.00K | $-19.00K | $-68.00K | $-38.00K | $-319.00K | $-203.00K | $-305.00K | $-492.00K | $-534.00K | $-488.00K |
Free Cash Flow | $305.00K | $-11.47M | $-46.08M | $-2.43M | $3.30M | $-18.16M | $-31.48M | $-5.11M | $-11.09M | $5.06M | $-32.99M | $-15.84M | $-24.98M | $3.69M | $-4.96M | $-20.70M | $3.40M | $-3.57M | $3.34M | $902.00K |
Kansas City Life Insurance Dividends
Explore Kansas City Life Insurance's dividend history, including dividend yield, payout ratio, and historical payments.
Dividend Yield
1.53%
Dividend Payout Ratio
-109.22%
Dividend Paid & Capex Coverage Ratio
-8.67x
Kansas City Life Insurance Dividend History
Dividend | Adjusted Dividend | Date | Record Date | Payment Date | Declaration Date |
---|---|---|---|---|---|
$0.14 | $0.14 | February 06, 2025 | February 06, 2025 | February 12, 2025 | January 27, 2025 |
$0.14 | $0.14 | November 07, 2024 | November 07, 2024 | November 13, 2024 | October 28, 2024 |
$0.14 | $0.14 | August 01, 2024 | August 01, 2024 | August 07, 2024 | July 22, 2024 |
$0.14 | $0.14 | May 01, 2024 | May 02, 2024 | May 08, 2024 | April 22, 2024 |
$0.14 | $0.14 | January 31, 2024 | February 01, 2024 | February 07, 2024 | January 22, 2024 |
$0.14 | $0.14 | November 01, 2023 | November 02, 2023 | November 08, 2023 | October 23, 2023 |
$0.14 | $0.14 | August 02, 2023 | August 03, 2023 | August 09, 2023 | July 24, 2023 |
$0.14 | $0.14 | May 03, 2023 | May 04, 2023 | May 10, 2023 | April 24, 2023 |
$0.14 | $0.14 | February 01, 2023 | February 02, 2023 | February 08, 2023 | January 23, 2023 |
$0.14 | $0.14 | November 02, 2022 | November 03, 2022 | November 09, 2022 | October 24, 2022 |
$0.14 | $0.14 | August 03, 2022 | August 04, 2022 | August 10, 2022 | July 25, 2022 |
$0.14 | $0.14 | May 04, 2022 | May 05, 2022 | May 11, 2022 | April 25, 2022 |
$0.27 | $0.27 | February 02, 2022 | February 03, 2022 | February 09, 2022 | January 24, 2022 |
$0.27 | $0.27 | November 03, 2021 | November 04, 2021 | November 10, 2021 | October 25, 2021 |
$0.27 | $0.27 | August 04, 2021 | August 05, 2021 | August 11, 2021 | July 26, 2021 |
$0.27 | $0.27 | May 05, 2021 | May 06, 2021 | May 12, 2021 | April 26, 2021 |
$0.27 | $0.27 | February 03, 2021 | February 04, 2021 | February 10, 2021 | January 25, 2021 |
$0.27 | $0.27 | November 04, 2020 | November 05, 2020 | November 11, 2020 | October 26, 2020 |
$0.27 | $0.27 | August 05, 2020 | August 06, 2020 | August 12, 2020 | July 27, 2020 |
$0.27 | $0.27 | May 06, 2020 | May 07, 2020 | May 13, 2020 | April 27, 2020 |
Kansas City Life Insurance News
Read the latest news about Kansas City Life Insurance, including recent articles, headlines, and updates.
Kansas City Life Announces Fourth Quarter 2024 Results
KANSAS CITY, Mo. , March 4, 2025 /PRNewswire/ -- Kansas City Life Insurance Company recorded a net loss of $12.6 million or $1.30 per share in the fourth quarter of 2024, down from net income of $49.1 million or $5.07 per share in the fourth quarter of 2023.

Kansas City Life Announces Third Quarter 2024 Results
KANSAS CITY, Mo. , Nov. 1, 2024 /PRNewswire/ -- Kansas City Life Insurance Company recorded net income of $1.3 million or $0.14 per share in the third quarter of 2024, down from net income of $4.6 million or $0.47 per share in the third quarter of 2023.

AM Best Revises Outlooks to Stable for Kansas City Life Insurance Company; Affirms Credit Ratings of Its Subsidiaries
OLDWICK, N.J.--(BUSINESS WIRE)-- #insurance--AM Best has revised the outlooks to stable from negative and affirmed the Financial Strength Rating (FSR) of A- (Excellent) and the Long-Term Issuer Credit Rating (Long-Term ICR) of “a-” (Excellent) of Kansas City Life Insurance Company (KCL) (Kansas City, MO) [OTCQX: KCLI]. Additionally, AM Best has revised the outlook of the Long-Term ICR to stable from negative and affirmed the FSR of B++ (Good) and the Long-Term ICR of “bbb+” (Good) of Old American Insurance.

Kansas City Life Announces Second Quarter 2024 Results
KANSAS CITY, Mo. , July 26, 2024 /PRNewswire/ -- Kansas City Life Insurance Company recorded net income of $4.7 million or $0.49 per share in the second quarter of 2024 compared to net income of $4.5 million or $0.46 per share in the second quarter of 2023.

Kansas City Life Announces First Quarter 2024 Results
KANSAS CITY, Mo. , April 26, 2024 /PRNewswire/ -- Kansas City Life Insurance Company recorded net income of $1.6 million or $0.16 per share in the first quarter of 2024 compared to a net loss of $3.2 million or $0.33 per share in the first quarter of 2023.

Kansas City Life Announces Fourth Quarter 2023 Results
KANSAS CITY, Mo., March 6, 2024 /PRNewswire/ -- Kansas City Life Insurance Company recorded net income of $49.1 million or $5.07 per share in the fourth quarter of 2023, compared to a net loss of $17.3 million or $1.79 per share in the fourth quarter of 2022.

Kansas City Life Announces Third Quarter 2023 Results
KANSAS CITY, Mo. , Oct. 27, 2023 /PRNewswire/ -- Kansas City Life Insurance Company recorded net income of $4.6 million or $0.47 per share in the third quarter of 2023 compared to net income of $4.3 million or $0.45 per share in the third quarter of 2022.

Kansas City Life Announces First Quarter 2021 Results
KANSAS CITY, Mo., April 30, 2021 /PRNewswire/ -- Kansas City Life Insurance Company recorded a net loss of $0.7 million or $0.07 per share in the first quarter of 2021 compared to net income of $0.2 million or $0.02 per share in the first quarter of 2020.

Kansas City Life Announces Fourth Quarter 2020 Results
KANSAS CITY, Mo., March 5, 2021 /PRNewswire/ -- Kansas City Life Insurance Company recorded a net loss of $0.8 million or $0.07 per share in the fourth quarter of 2020 compared to net income of $10.6 million or $1.09 per share in the fourth quarter of 2019. Net income totaled $15.2...

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Related Metrics
Explore detailed financial metrics and analysis for KCLI.