Recent Annual Filings for LOB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,943,380,000 $812,372,000 $723,137,000 $79,792,000 $536,468,000 $1,568,893,000 $26,260,000
2023 $11,271,423,000 $688,275,000 $605,445,000 $81,497,000 $620,071,000 $1,320,755,000 $165,904,000
2022 $9,855,498,000 $444,473,000 $234,149,000 $81,944,000 $124,485,000 $1,530,745,000 $212,886,000
2021 $8,213,393,000 $361,213,000 $150,425,000 $147,434,000 $-119,717,000 $154,950,000 $-114,570,000
2020 $7,872,303,000 $288,408,000 $241,019,000 $69,326,000 $-272,989,000 $2,977,381,000 $96,923,000
2019 $4,814,970,000 $227,980,000 $204,515,000 $31,435,000 $-493,925,000 $1,073,805,000 $-93,284,000
2018 $3,670,449,000 $162,643,000 $116,597,000 $51,048,000 $11,521,000 $860,616,000 $21,552,000
2017 $2,758,474,000 $103,472,000 $5,218,000 $100,118,000 $-287,529,000 $879,808,000 $57,263,000