SAFETY INSURANCE GROUP INC (SAFT) — Operating Cash Flow

Annual figures by period end, from SEC filings.

2009-12-31: $64.48M2010-12-31: $51.20M2011-12-31: $39.48M2012-12-31: $104.35M2015-12-31: $22.89M2016-12-31: $98.82M2017-12-31: $82.04M2018-12-31: $127.69M2019-12-31: $112.46M2020-12-31: $109.46M2021-12-31: $141.39M2022-12-31: $44.33M2023-12-31: $52.11M2024-12-31: $128.69M2025-12-31: $194.50M$194.50M
2009-12-31Operating Cash Flow (USD)2025-12-31
Period endedOperating Cash FlowChange YoYSource filing
2025-12-31$194.50M+51.1%2026-02-27From 2025-01-01
2024-12-31$128.69M+146.9%2026-02-27From 2024-01-01
2023-12-31$52.11M+17.6%2026-02-27From 2023-01-01
2022-12-31$44.33M-68.7%2025-02-27From 2022-01-01
2021-12-31$141.39M+29.2%2024-02-28From 2021-01-01
2020-12-31$109.46M-2.7%2023-02-28From 2020-01-01
2019-12-31$112.46M-11.9%2022-02-28From 2019-01-01
2018-12-31$127.69M+55.6%2021-02-26From 2018-01-01
2017-12-31$82.04M-17.0%2020-02-28From 2017-01-01
2016-12-31$98.82M+331.7%2019-02-28From 2016-01-01
2015-12-31$22.89M2018-02-28From 2015-01-01
2012-12-31$104.35M+164.3%2013-03-18From 2012-01-01
2011-12-31$39.48M-22.9%2013-03-18From 2011-01-01
2010-12-31$51.20M-20.6%2013-03-18From 2010-01-01
2009-12-31$64.48M2012-03-13From 2009-01-01