Recent Annual Filings for DGICB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,336,031,983 $989,605,050 $927,266,118 $55,543,593 $67,440,037 $9,732,187 $29,133,658
2023 $2,266,293,888 $927,337,984 $922,274,508 $10,443,527 $28,623,744 $-13,248,162 $-1,331,059
2022 $2,243,349,335 $848,220,546 $851,858,645 $-46,946,703 $67,110,020 $-1,197,760 $-32,586,043
2021 $2,255,175,399 $816,465,791 $786,127,283 $17,407,113 $76,731,968 $-59,917,518 $-45,384,861
2020 $2,160,520,324 $777,819,910 $714,547,407 $63,441,694 $101,134,400 $52,316,231 $53,775,306
2019 $1,923,161,131 $812,451,471 $755,370,441 $61,883,973 $76,359,777 $-36,258,129 $-3,275,531
2018 $1,832,078,267 $771,828,320 $820,065,169 $-39,385,469 $63,776,134 $-11,409,101 $14,761,026
2017 $1,737,919,778 $739,026,537 $726,912,075 $7,161,783 $81,000,198 $-9,310,595 $13,246,221