Recent Annual Filings for UVE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,841,861,000 $1,520,536,000 $1,429,449,000 $69,934,000 $137,358,000 $-47,131,000 $-137,865,000
2023 $2,316,561,000 $1,391,582,000 $1,296,702,000 $96,433,000 $70,971,000 $-47,120,000 $8,600,000
2022 $2,890,154,000 $1,222,658,000 $1,243,296,000 $-110,471,000 $324,515,000 $-37,456,000 $138,198,000
2021 $2,056,141,000 $1,121,851,000 $1,093,438,000 $1,496,000 $234,378,000 $68,298,000 $73,272,000
2020 $1,758,741,000 $1,072,770,000 $1,048,539,000 $1,487,000 $29,348,000 $-56,263,000 $-4,873,000
2019 $1,719,852,000 $939,351,000 $875,834,000 $74,888,000 $84,598,000 $-97,243,000 $15,681,000
2018 $1,858,390,000 $823,816,000 $670,943,000 $112,303,000 $230,105,000 $-64,877,000 $-47,058,000
2017 $1,454,999,000 $751,916,000 $581,432,000 $107,062,000 $245,010,000 $-51,545,000 $107,756,000