Recent Annual Filings for NODK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $526,545,000 $325,204,000 $315,059,000 $-6,213,000 $38,506,000 $-3,643,000 $30,322,000
2023 $654,886,000 $365,695,000 $369,958,000 $2,954,000 $25,970,000 $-7,466,000 $9,691,000
2022 $614,232,000 $324,437,000 $393,466,000 $-89,598,000 $-30,388,000 $-18,281,000 $-23,621,000
2021 $651,782,000 $323,974,000 $312,668,000 $477,000 $29,168,000 $-11,471,000 $-30,454,000
2020 $617,603,000 $306,357,000 $253,541,000 $48,663,000 $51,010,000 $-12,265,000 $38,945,000
2019 $508,159,000 $270,779,000 $236,968,000 $34,057,000 $25,665,000 $-2,025,000 $-6,818,000
2018 $458,492,000 $212,370,000 $173,798,000 $21,544,000 $20,955,000 $-2,996,000 $41,356,000
2017 $376,988,000 $189,140,000 $167,134,000 $18,623,000 $18,425,000 $82,708,000 $9,276,000