Recent Annual Filings for UNM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $61,959,300,000 $12,887,300,000 $10,636,000,000 $2,563,400,000 $1,513,200,000 $-1,152,000,000 $16,800,000
2023 $63,255,200,000 $12,385,900,000 $10,745,800,000 $1,424,100,000 $1,202,800,000 $-450,100,000 $26,800,000
2022 $61,434,900,000 $11,991,000,000 $10,359,600,000 $-1,796,500,000 $1,418,700,000 $-418,600,000 $44,200,000
2021 $70,115,600,000 $12,013,800,000 $10,950,800,000 $804,100,000 $1,387,500,000 $-168,900,000 $-122,000,000
2020 $70,625,800,000 $13,162,100,000 $12,198,100,000 $1,129,900,000 $597,500,000 $-216,900,000 $112,900,000
2019 $67,013,400,000 $11,998,900,000 $10,616,800,000 $1,951,800,000 $1,741,600,000 $-358,000,000 $-9,900,000
2018 $61,875,600,000 $11,598,500,000 $10,970,700,000 $-400,800,000 $1,536,500,000 $-589,800,000 $16,600,000
2017 $64,013,100,000 $11,286,800,000 $9,882,800,000 $1,172,700,000 $1,149,400,000 $-687,800,000 $-23,000,000