Recent Annual Filings for SIGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,802,546,000 $4,232,106,000 $3,773,694,000 $490,279,000 $758,908,000 $-84,490,000 $-11,937,000
2022 $10,802,261,000 $3,558,062,000 $3,277,876,000 $-388,255,000 $802,409,000 $-87,816,000 $-19,854,000
2021 $10,461,389,000 $3,379,164,000 $2,873,854,000 $298,750,000 $771,422,000 $-122,810,000 $29,832,000
2020 $9,687,913,000 $2,922,274,000 $2,619,286,000 $384,791,000 $554,045,000 $141,385,000 $7,256,000
2019 $8,797,150,000 $2,846,491,000 $2,510,101,000 $431,329,000 $477,495,000 $57,184,000 $-8,944,000
2018 $7,952,729,000 $2,586,080,000 $2,374,359,000 $105,832,000 $454,944,000 $-47,047,000 $-27,791,000
2017 $7,686,431,000 $2,469,984,000 $2,208,016,000 $204,946,000 $370,733,000 $-39,582,000 $76,000
2016 $7,355,848,000 $2,284,270,000 $2,064,315,000 $151,970,000 $301,783,000 $15,878,000 $-440,000