Recent Annual Filings for FAF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,802,800,000 $6,003,500,000 $5,729,100,000 $428,600,000 $354,300,000 $1,423,100,000 $2,381,800,000
2022 $14,955,000,000 $7,605,000,000 $7,279,000,000 $-511,000,000 $780,000,000 $-376,000,000 $-4,000,000
2021 $16,451,000,000 $9,221,000,000 $7,579,000,000 $1,117,000,000 $1,220,000,000 $2,126,000,000 $-47,000,000
2020 $12,795,988,000 $7,086,667,000 $6,163,397,000 $781,529,000 $1,084,659,000 $113,924,000 $-210,493,000
2019 $11,519,167,000 $6,202,061,000 $5,297,043,000 $828,930,000 $913,089,000 $-445,069,000 $18,830,000
2018 $10,630,635,000 $5,747,844,000 $5,138,306,000 $423,364,000 $793,165,000 $514,735,000 $79,903,000
2017 $9,573,222,000 $5,772,363,000 $5,327,032,000 $584,767,000 $632,134,000 $128,024,000 $381,088,000
2016 $8,831,777,000 $5,575,846,000 $5,098,265,000 $352,083,000 $489,416,000 $106,787,000 $-21,183,000