Recent Annual Filings for CNO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,852,600,000 $4,449,500,000 $3,931,200,000 $609,400,000 $627,700,000 $1,969,600,000 $1,108,700,000
2023 $35,102,500,000 $4,146,800,000 $3,790,000,000 $657,000,000 $582,900,000 $533,500,000 $244,100,000
2022 $33,339,200,000 $3,576,800,000 $3,059,500,000 $-3,643,400,000 $495,400,000 $1,199,100,000 $-86,800,000
2021 $36,204,400,000 $4,122,200,000 $3,554,500,000 $202,000,000 $598,300,000 $667,600,000 $-260,200,000
2020 $35,339,900,000 $3,821,100,000 $3,476,800,000 $1,115,400,000 $735,500,000 $210,100,000 $337,200,000
2019 $33,630,900,000 $4,015,800,000 $3,741,600,000 $1,604,200,000 $696,700,000 $-143,000,000 $-1,900,000
2018 $31,439,800,000 $4,313,500,000 $4,578,300,000 $-1,333,100,000 $317,800,000 $107,200,000 $-100,700,000
2017 $33,110,300,000 $4,297,200,000 $3,816,700,000 $559,900,000 $613,100,000 $-274,000,000 $99,500,000