Recent Annual Filings for UI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,154,412,000 $1,928,490,000 $1,504,662,000 $349,960,000 $541,516,000 $-518,025,000 $11,516,000
2023 $1,406,399,000 $1,940,512,000 $1,454,170,000 $407,641,000 $-145,428,000 $144,964,000 $-21,398,000
2022 $844,712,000 $1,691,692,000 $1,247,243,000 $378,182,000 $370,259,000 $-472,273,000 $-113,194,000
2021 $890,985,000 $1,898,094,000 $1,170,440,000 $616,576,000 $612,022,000 $-485,955,000 $106,801,000
2020 $737,451,000 $1,284,500,000 $834,304,000 $379,913,000 $460,284,000 $-625,398,000 $-95,530,000