Recent Annual Filings for ACIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,216,112,000 $296,657,000 $197,061,000 $79,197,000 $243,509,000 $-13,840,000 $50,458,000
2023 $1,060,383,000 $286,543,000 $196,811,000 $322,717,000 $-136,003,000 $26,769,000 $-111,778,000
2020 $501,488,504 $-69,945 $159,947 $-131,310 $-564,933 $501,490,856 $925,923