Recent Annual Filings for GLRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,016,223,000 $696,026,000 $652,461,000 $43,565,000 $111,504,000 $-21,240,000 $-6,643,000
2023 $1,735,307,000 $667,082,000 $580,152,000 $86,830,000 $7,507,000 $-5,292,000 $-50,818,000
2022 $1,580,381,000 $526,683,000 $502,157,000 $25,342,000 $-31,799,000 $-19,828,000 $-4,553,000
2021 $1,427,494,000 $588,551,000 $567,227,000 $17,578,000 $-56,296,000 $-10,000,000 $-43,205,000
2020 $1,357,650,000 $484,092,000 $479,802,000 $3,866,000 $-91,323,000 $-17,781,000 $-13,600,000
2019 $1,355,193,000 $538,153,000 $541,656,000 $-3,986,000 $1,631,000 $-64,675,000 $290,000
2018 $1,435,445,000 $183,029,000 $537,026,000 $-354,329,000 $-59,308,000 $80,073,000 $-827,867,000
2017 $3,357,393,000 $645,675,000 $690,500,000 $-44,374,000 $94,419,000 $-2,819,000 $-12,573,000