Recent Annual Filings for AIZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $35,020,600,000 $11,877,500,000 $10,950,200,000 $689,100,000 $1,332,700,000 $-477,500,000 $197,400,000
2023 $33,635,200,000 $11,131,600,000 $10,324,800,000 $863,700,000 $1,138,100,000 $-403,900,000 $90,700,000
2022 $33,123,800,000 $10,193,000,000 $9,843,100,000 $-559,600,000 $596,900,000 $-818,400,000 $-518,100,000
2021 $33,911,500,000 $10,187,600,000 $9,404,600,000 $512,600,000 $781,700,000 $-1,089,800,000 $-174,000,000
2020 $44,649,900,000 $10,094,800,000 $9,579,500,000 $741,000,000 $1,342,000,000 $-264,800,000 $342,000,000
2019 $44,291,200,000 $10,086,800,000 $9,532,300,000 $953,700,000 $1,413,400,000 $-179,200,000 $613,100,000
2018 $41,089,300,000 $8,057,600,000 $7,724,100,000 $-184,900,000 $656,700,000 $1,838,000,000 $257,200,000
2017 $31,843,000,000 $6,415,000,000 $5,970,500,000 $659,000,000 $530,400,000 $-26,700,000 $-35,200,000