Recent Annual Filings for ACGL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $70,906,000,000 $17,440,000,000 $12,966,000,000 $4,268,000,000 $6,673,000,000 $-1,925,000,000 $262,000,000
2023 $58,906,000,000 $13,634,000,000 $10,249,000,000 $5,412,000,000 $5,749,000,000 $-69,000,000 $225,000,000
2022 $47,990,507,000 $9,614,808,000 $8,126,315,000 $-99,147,000 $3,815,227,000 $-705,726,000 $-41,443,000
2021 $45,100,945,000 $9,249,980,000 $7,146,629,000 $1,671,983,000 $3,427,555,000 $-1,229,549,000 $24,227,000
2020 $43,282,297,000 $8,525,275,000 $6,947,726,000 $1,751,577,000 $2,886,505,000 $521,278,000 $386,846,000
2019 $37,885,361,000 $6,928,200,000 $5,079,090,000 $2,093,240,000 $2,048,459,000 $-80,662,000 $179,055,000
2018 $32,218,329,000 $5,450,568,000 $4,608,796,000 $577,507,000 $1,559,322,000 $-988,810,000 $-2,641,000
2017 $32,051,658,000 $5,627,375,000 $4,870,098,000 $861,764,000 $1,112,617,000 $-3,405,000 $-236,743,000