Recent Annual Filings for UFCS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,488,469,000 $1,253,307,000 $1,176,273,000 $58,133,000 $340,304,000 $51,086,000 $98,903,000
2023 $3,144,190,000 $1,095,467,000 $1,135,188,000 $6,839,000 $171,736,000 $-16,454,000 $5,396,000
2022 $2,882,286,000 $980,286,000 $968,209,000 $-126,802,000 $-1,251,000 $-15,032,000 $-35,454,000
2021 $3,012,721,000 $1,066,191,000 $969,348,000 $68,020,000 $29,917,000 $-17,492,000 $44,156,000
2020 $3,069,678,000 $1,068,627,000 $1,238,142,000 $-58,948,000 $41,435,000 $18,662,000 $-32,774,000
2019 $3,013,472,000 $1,201,165,000 $1,184,286,000 $58,444,000 $93,752,000 $-41,985,000 $56,268,000
2018 $2,816,698,000 $1,070,166,000 $1,079,316,000 $13,394,000 $110,104,000 $-115,188,000 $-24,288,000
2017 $4,183,431,000 $1,052,737,000 $1,037,087,000 $78,974,000 $170,094,000 $-107,549,000 $560,000