Recent Annual Filings for GL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,076,181,000 $5,778,069,000 $4,451,432,000 $1,813,461,000 $1,402,440,000 $-715,835,000 $62,169,000
2023 $28,051,499,000 $5,447,533,000 $4,253,267,000 $988,649,000 $1,482,425,000 $-541,487,000 $10,597,000
2022 $25,537,159,000 $5,214,906,000 $4,308,595,000 $-3,353,593,000 $1,422,194,000 $-492,453,000 $396,000
2021 $29,768,048,000 $5,112,869,000 $4,200,479,000 $393,298,000 $1,437,680,000 $-523,603,000 $-2,684,000
2020 $29,046,731,000 $4,737,921,000 $3,841,237,000 $1,916,187,000 $1,476,434,000 $-274,057,000 $18,914,000
2019 $25,977,460,000 $4,527,532,000 $3,596,253,000 $2,286,145,000 $1,363,874,000 $-590,508,000 $-45,093,000