Recent Annual Filings for ROOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,495,700,000 $1,176,500,000 $1,145,600,000 $31,100,000 $195,700,000 $-120,700,000 $-79,400,000
2023 $1,347,700,000 $455,000,000 $602,400,000 $-144,100,000 $-33,600,000 $-4,100,000 $-83,400,000
2022 $1,312,900,000 $310,800,000 $608,500,000 $-303,900,000 $-210,600,000 $283,300,000 $56,100,000
2021 $1,319,300,000 $345,400,000 $866,500,000 $-526,300,000 $-403,400,000 $-80,300,000 $-406,800,000
2020 $1,762,300,000 $346,800,000 $709,800,000 $-358,000,000 $-287,200,000 $1,098,500,000 $697,200,000