Recent Annual Filings for AXS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,520,293,000 $5,957,651,000 $4,949,413,000 $1,180,065,000 $1,844,813,000 $-417,294,000 $1,679,636,000
2023 $30,250,672,000 $5,643,388,000 $5,244,943,000 $770,756,000 $1,255,559,000 $-202,371,000 $209,332,000
2022 $27,595,811,000 $5,135,439,000 $4,892,314,000 $-593,753,000 $692,216,000 $-149,622,000 $-143,037,000
2021 $27,368,970,000 $5,321,725,000 $4,672,816,000 $260,750,000 $1,114,822,000 $-186,095,000 $-185,542,000
2020 $25,877,687,000 $4,841,954,000 $4,971,087,000 $122,261,000 $343,503,000 $-908,803,000 $-73,225,000
2019 $25,604,054,000 $5,173,427,000 $4,835,980,000 $672,293,000 $199,004,000 $277,510,000 $-253,563,000
2018 $24,132,566,000 $5,090,406,000 $5,077,864,000 $-158,973,000 $10,773,000 $-186,207,000 $466,234,000
2017 $24,760,177,000 $4,591,595,000 $4,959,704,000 $-154,746,000 $259,229,000 $-545,688,000 $-90,868,000