Recent Annual Filings for TRV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $133,189,000,000 $46,423,000,000 $40,243,000,000 $4,503,000,000 $9,074,000,000 $-1,747,000,000 $63,000,000
2023 $125,978,000,000 $41,364,000,000 $37,993,000,000 $4,965,000,000 $7,711,000,000 $-1,051,000,000 $-161,000,000
2022 $115,717,000,000 $36,884,000,000 $33,530,000,000 $-4,796,000,000 $6,465,000,000 $-2,669,000,000 $38,000,000
2021 $120,466,000,000 $34,816,000,000 $30,358,000,000 $2,353,000,000 $7,274,000,000 $-2,037,000,000 $40,000,000
2020 $116,764,000,000 $31,981,000,000 $28,744,000,000 $4,559,000,000 $6,519,000,000 $-1,416,000,000 $227,000,000
2019 $110,122,000,000 $31,581,000,000 $28,443,000,000 $5,121,000,000 $5,205,000,000 $-2,187,000,000 $121,000,000
2018 $104,233,000,000 $30,282,000,000 $27,321,000,000 $1,053,000,000 $4,380,000,000 $-2,012,000,000 $29,000,000
2017 $103,483,000,000 $28,902,000,000 $26,172,000,000 $2,468,000,000 $3,762,000,000 $-1,920,000,000 $37,000,000