Recent Annual Filings for KMPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,630,400,000 $4,638,600,000 $4,250,100,000 $368,800,000 $382,900,000 $-137,200,000 $1,300,000
2023 $12,742,700,000 $4,944,200,000 $5,013,100,000 $-118,200,000 $-134,200,000 $-122,000,000 $-148,300,000
2022 $13,364,000,000 $5,576,800,000 $5,966,300,000 $-1,505,300,000 $-210,300,000 $382,900,000 $64,200,000
2021 $14,916,500,000 $5,793,000,000 $6,038,300,000 $-352,900,000 $350,700,000 $-290,400,000 $-57,900,000
2020 $14,341,900,000 $5,205,700,000 $4,695,600,000 $754,300,000 $448,000,000 $378,300,000 $69,300,000
2019 $12,989,100,000 $5,039,200,000 $4,377,600,000 $845,400,000 $534,300,000 $160,800,000 $61,700,000
2018 $11,544,900,000 $3,725,100,000 $3,526,000,000 $-700,000 $539,200,000 $-12,200,000 $29,400,000
2017 $8,376,200,000 $2,723,400,000 $2,562,300,000 $178,300,000 $240,600,000 $-205,200,000 $-70,000,000