Recent Annual Filings for JRVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,007,076,000 $707,626,000 $778,746,000 $-87,396,000 $-247,085,000 $-28,846,000 $31,101,000
2023 $5,317,250,000 $812,009,000 $725,095,000 $-8,361,000 $87,953,000 $-21,115,000 $83,570,000
2022 $5,137,075,000 $813,696,000 $764,309,000 $-162,049,000 $222,734,000 $89,671,000 $-15,749,000
2021 $4,948,550,000 $772,880,000 $968,914,000 $-224,720,000 $-913,546,000 $147,671,000 $-730,052,000
2020 $5,063,072,000 $668,689,000 $656,752,000 $55,609,000 $-273,830,000 $65,925,000 $-383,896,000
2019 $5,024,405,000 $907,125,000 $855,258,000 $85,281,000 $1,489,022,000 $7,956,000 $1,233,619,000
2018 $3,136,776,000 $885,599,000 $814,761,000 $41,627,000 $290,028,000 $-14,294,000 $8,962,000
2017 $2,756,695,000 $817,625,000 $762,480,000 $52,785,000 $207,816,000 $-49,364,000 $53,711,000