ARCH CAPITAL GROUP LTD. (ACGL) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: $1.14B2009: $992.65M2010: $802.07M2011: $866.11M2012: $921.60M2013: $850.87M2017: $1.09B2018: $1.56B2019: $2.05B2020: $2.89B2021: $3.42B2022: $3.82B2023: $5.75B2024: $6.67B2025: $6.17B$6.17B
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$6.17B-7.5%
2024$6.67B+16.1%
2023$5.75B+50.7%
2022$3.82B+11.4%
2021$3.42B+18.7%
2020$2.89B+40.9%
2019$2.05B+31.4%
2018$1.56B+42.4%
2017$1.09B
2013$850.87M-7.7%
2012$921.60M+6.4%
2011$866.11M+8.0%
2010$802.07M-19.2%
2009$992.65M-12.9%
2008$1.14B