Recent Annual Filings for CLOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $570,671,000 $2,033,720,000 $2,247,081,000 $-206,357,000 $-115,871,000 $-33,861,000 $-9,719,000
2022 $808,620,000 $3,476,687,000 $3,815,531,000 $-346,284,000 $-203,926,000 $-4,962,000 $-113,755,000
2021 $950,804,000 $1,471,996,000 $2,059,752,000 $-589,700,000 $-282,326,000 $925,393,000 $207,620,000