Recent Annual Filings for PGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $88,690,800,000 $62,108,500,000 $57,204,800,000 $5,088,700,000 $10,643,300,000 $78,000,000 $-121,300,000
2022 $75,465,000,000 $49,610,700,000 $48,688,600,000 $-2,121,200,000 $6,848,800,000 $1,126,200,000 $18,800,000
2021 $71,132,300,000 $47,702,000,000 $43,492,000,000 $-891,000,000 $7,761,700,000 $-4,516,300,000 $125,600,000
2020 $64,098,300,000 $42,658,100,000 $35,484,900,000 $587,300,000 $6,905,600,000 $-938,800,000 $-150,900,000
2019 $54,895,300,000 $39,022,300,000 $33,862,000,000 $467,200,000 $6,261,600,000 $-1,770,900,000 $152,400,000
2018 $46,575,000,000 $31,979,000,000 $28,815,400,000 $-98,500,000 $6,284,800,000 $846,700,000 $-200,300,000
2017 $38,701,200,000 $26,839,000,000 $24,700,100,000 $351,100,000 $3,756,800,000 $-300,900,000 $48,900,000
2016 $33,427,500,000 $23,441,400,000 $21,970,700,000 $129,800,000 $2,701,900,000 $-250,400,000 $-12,600,000