Recent Annual Filings for ITIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $333,571,000 $258,298,000 $218,835,000 $30,790,000 $29,840,000 $-30,964,000 $623,000
2023 $330,559,000 $224,750,000 $198,520,000 $22,124,000 $7,426,000 $-12,007,000 $-11,280,000
2022 $339,757,000 $283,392,000 $253,284,000 $20,877,000 $36,204,000 $-9,315,000 $-1,857,000
2021 $331,488,000 $329,498,000 $244,566,000 $65,920,000 $51,931,000 $-37,554,000 $23,445,000
2020 $282,925,000 $236,408,000 $186,747,000 $40,646,000 $34,095,000 $-31,721,000 $-12,226,000
2019 $263,893,000 $183,502,000 $143,679,000 $33,609,000 $20,916,000 $-18,150,000 $7,255,000
2018 $244,268,000 $156,259,000 $129,190,000 $20,490,000 $24,386,000 $-23,099,000 $-1,520,000
2017 $248,912,859 $161,649,296 $131,378,726 $29,883,949 $19,893,180 $-7,318,778 $-7,714,004