Recent Annual Filings for NMIH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,940,507,000 $579,003,000 $166,300,000 $386,516,000 $342,683,000 $-90,420,000 $52,263,000
2022 $2,516,030,000 $523,345,000 $146,040,000 $87,094,000 $313,394,000 $-55,828,000 $-32,220,000
2021 $2,450,581,000 $485,072,000 $188,347,000 $178,759,000 $325,719,000 $-1,830,000 $-50,291,000
2020 $2,166,666,000 $433,283,000 $215,177,000 $208,134,000 $252,598,000 $462,804,000 $85,848,000
2019 $1,364,818,000 $378,771,000 $162,118,000 $204,077,000 $208,150,000 $2,000,000 $15,795,000
2018 $1,092,043,000 $275,025,000 $122,688,000 $95,672,000 $145,861,000 $80,887,000 $6,098,000
2017 $894,848,000 $182,743,000 $112,318,000 $24,478,000 $67,763,000 $-3,241,000 $-28,550,000
2016 $841,737,000 $123,815,000 $95,615,000 $68,028,000 $71,944,000 $-1,723,000 $-9,571,000