Recent Annual Filings for ORI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,843,100,000 $8,231,500,000 $7,161,700,000 $882,600,000 $1,233,400,000 $-1,226,900,000 $2,600,000
2023 $26,501,400,000 $7,258,300,000 $6,510,800,000 $984,100,000 $880,400,000 $-783,200,000 $122,500,000
2022 $25,159,400,000 $8,083,700,000 $7,226,300,000 $85,700,000 $1,170,600,000 $-832,700,000 $-77,100,000
2021 $24,981,800,000 $9,341,600,000 $7,419,500,000 $1,328,300,000 $1,311,700,000 $-335,700,000 $39,500,000
2020 $22,815,200,000 $7,166,000,000 $6,477,500,000 $765,000,000 $1,185,000,000 $-300,000,000 $39,800,000
2019 $21,076,300,000 $7,213,700,000 $5,891,300,000 $1,344,200,000 $936,200,000 $-533,100,000 $-21,400,000
2018 $19,327,100,000 $6,021,800,000 $5,583,700,000 $188,500,000 $760,500,000 $-546,500,000 $-25,600,000
2017 $19,403,500,000 $6,263,100,000 $5,537,700,000 $626,000,000 $452,800,000 $-178,500,000 $-19,700,000