Recent Annual Filings for SCOR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $430,247,000 $356,047,000 $415,556,000 $-64,206,000 $18,104,000 $17,623,000 $10,532,000
2023 $491,295,000 $371,343,000 $444,944,000 $-77,531,000 $28,926,000 $-3,394,000 $2,494,000
2022 $580,586,000 $376,423,000 $451,296,000 $-70,403,000 $34,937,000 $-18,132,000 $-1,837,000
2021 $663,474,000 $367,013,000 $395,878,000 $-55,105,000 $9,856,000 $-22,452,000 $-28,462,000
2020 $677,970,000 $356,036,000 $377,311,000 $-42,615,000 $717,000 $-2,096,000 $-16,032,000
2019 $723,695,000 $388,645,000 $699,112,000 $-340,708,000 $-4,636,000 $31,973,000 $16,575,000
2018 $954,143,000 $419,482,000 $558,418,000 $-163,665,000 $-72,575,000 $93,119,000 $5,073,000
2014 $353,952,000 $329,151,000 $343,931,000 $-17,220,000 $49,497,000 $-59,099,000 $-24,780,000