Recent Annual Filings for RLI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,628,802,000 $1,770,384,000 $1,337,964,000 $338,359,000 $560,219,000 $-237,983,000 $3,366,000
2023 $5,180,221,000 $1,511,994,000 $1,144,339,000 $367,384,000 $464,257,000 $-238,848,000 $13,606,000
2022 $4,767,068,000 $1,697,992,000 $987,167,000 $304,509,000 $250,448,000 $-365,313,000 $-65,986,000
2021 $4,508,302,000 $1,179,245,000 $871,984,000 $220,466,000 $384,905,000 $-83,492,000 $26,587,000
2020 $3,938,485,000 $983,626,000 $814,018,000 $213,310,000 $263,259,000 $-79,258,000 $16,014,000
2019 $3,545,721,000 $1,003,591,000 $791,817,000 $258,687,000 $276,917,000 $-76,101,000 $16,063,000
2018 $3,105,065,000 $818,123,000 $766,598,000 $30,182,000 $217,102,000 $-77,024,000 $5,869,000
2017 $2,947,244,000 $797,224,000 $729,859,000 $140,337,000 $197,525,000 $-110,311,000 $6,002,000