Recent Annual Filings for VRSK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,264,700,000 $2,881,700,000 $1,627,800,000 $915,200,000 $1,144,000,000 $-1,028,500,000 $-11,500,000
2023 $4,366,100,000 $2,681,400,000 $1,549,700,000 $1,404,400,000 $1,060,700,000 $-3,786,500,000 $10,000,000
2022 $6,961,100,000 $2,497,000,000 $1,090,500,000 $616,300,000 $1,059,000,000 $-1,330,200,000 $12,400,000
2021 $7,808,100,000 $2,998,600,000 $1,998,100,000 $646,900,000 $1,155,700,000 $-498,900,000 $61,500,000
2020 $7,561,800,000 $2,784,600,000 $1,746,500,000 $823,900,000 $1,068,200,000 $-445,200,000 $33,900,000
2019 $7,055,200,000 $2,607,100,000 $1,910,200,000 $554,900,000 $956,300,000 $10,900,000 $45,400,000
2018 $5,900,300,000 $2,395,100,000 $1,561,000,000 $419,800,000 $934,400,000 $-669,800,000 $-2,800,000
2017 $6,020,300,000 $2,145,200,000 $1,344,000,000 $793,600,000 $743,500,000 $362,500,000 $7,200,000