Recent Annual Filings for EIG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,550,400,000 $850,900,000 $702,500,000 $171,000,000 $49,400,000 $-289,500,000 $137,200,000
2022 $3,716,700,000 $713,500,000 $657,700,000 $-151,100,000 $99,800,000 $60,400,000 $14,100,000
2021 $3,783,200,000 $703,100,000 $556,100,000 $64,800,000 $10,800,000 $-94,400,000 $-85,300,000
2020 $3,922,600,000 $711,400,000 $563,700,000 $169,600,000 $33,300,000 $-112,200,000 $5,400,000
2019 $4,004,100,000 $835,900,000 $642,100,000 $236,100,000 $123,100,000 $-119,100,000 $53,200,000
2018 $3,919,200,000 $800,400,000 $630,900,000 $94,200,000 $180,200,000 $-32,900,000 $27,700,000
2017 $3,840,100,000 $801,400,000 $657,400,000 $116,300,000 $142,300,000 $-26,000,000 $6,100,000
2016 $3,773,400,000 $779,800,000 $639,100,000 $97,600,000 $122,800,000 $-23,600,000 $10,600,000