US Stock MarketDetailed Quotes

JRVR James River

Watchlist
  • 6.420
  • -0.280-4.18%
Close Nov 7 16:00 ET
  • 6.420
  • 0.0000.00%
Post 16:20 ET
242.87MMarket Cap-2044P/E (TTM)

James River Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Total investments
-31.87%1.49B
-22.90%1.71B
16.56%1.71B
16.56%1.71B
0.62%2.19B
7.32%2.19B
4.18%2.21B
-31.30%1.46B
-31.30%1.46B
5.56%2.18B
-Equity investments
-35.96%740.02M
630.06%847.54M
4.16%119.95M
4.16%119.95M
860.35%1.13B
1,071.40%1.16B
12.74%116.09M
6.22%115.16M
6.22%115.16M
18.14%118.11M
-Net loan
14.97%165.28M
17.90%173.05M
187.70%156.17M
187.70%156.17M
-5.13%152.07M
-10.08%143.76M
-7.74%146.77M
-65.21%54.28M
-65.21%54.28M
3.42%160.3M
-Short term investments
-36.19%549M
-66.05%653.15M
10.26%1.4B
10.26%1.4B
-52.82%871.91M
-50.22%860.32M
6.31%1.92B
-30.18%1.27B
-30.18%1.27B
5.69%1.85B
-Other invested assets
30.71%35.83M
21.70%33.08M
20.72%33.13M
20.72%33.13M
-36.84%31.25M
-46.61%27.42M
-49.00%27.18M
-47.12%27.45M
-47.12%27.45M
-14.33%49.47M
Cash and cash equivalents
195.95%672.52M
52.83%305.5M
72.30%274.3M
72.30%274.3M
24.20%232.92M
-35.21%227.24M
-26.02%199.9M
-16.26%159.2M
-16.26%159.2M
-14.97%187.54M
Restricted cash and cash equivalents
-73.50%27.96M
-29.60%73.4M
-29.81%72.45M
-29.81%72.45M
4.27%106.86M
3.33%105.5M
2.20%104.25M
1.19%103.22M
1.19%103.22M
924.85%102.49M
Receivables
-12.67%1.83B
-14.06%1.74B
9.44%1.77B
9.44%1.77B
-3.21%1.97B
1.98%2.09B
-2.25%2.03B
-11.73%1.61B
-11.73%1.61B
13.14%2.04B
-Accounts receivable
-12.67%1.83B
-14.06%1.74B
9.43%1.77B
9.43%1.77B
-3.21%1.97B
1.98%2.09B
-2.25%2.03B
-11.56%1.61B
-11.56%1.61B
13.14%2.04B
-Taxes receivable
----
----
--224K
--224K
----
----
----
--0
--0
----
Accrued investment income
-41.39%9.85M
-26.60%11.66M
23.94%12.11M
23.94%12.11M
21.07%16.68M
42.01%16.81M
35.48%15.89M
-11.50%9.77M
-11.50%9.77M
16.75%13.78M
Prepaid assets
14.90%321.14M
10.58%289.38M
8.78%293.11M
8.78%293.11M
1.23%284.18M
-7.11%279.51M
-8.08%261.69M
-7.57%269.44M
-7.57%269.44M
-4.02%280.74M
Deferred policy acquisition costs
-47.45%27.15M
-50.51%26.99M
-4.08%31.5M
-4.08%31.5M
-32.99%42.14M
-14.81%51.67M
-17.41%54.54M
-52.08%32.84M
-52.08%32.84M
0.68%62.88M
Net PPE
----
----
1,161.69%17M
1,161.69%17M
----
----
----
72.47%1.35M
72.47%1.35M
----
Goodwill and other intangible assets
-1.32%214.46M
-1.32%214.55M
-1.32%214.64M
-1.32%214.64M
-1.32%214.74M
-0.17%217.33M
-0.17%217.42M
-0.17%217.51M
-0.17%217.51M
-0.17%217.6M
-Goodwill
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
0.00%181.83M
-Other intangible assets
-8.07%32.63M
-8.05%32.72M
-8.03%32.81M
-8.03%32.81M
-8.00%32.9M
-1.01%35.49M
-1.01%35.59M
-1.01%35.68M
-1.01%35.68M
-1.00%35.77M
Assets of discontinued operations
--0
--732.17M
-31.63%783.39M
-31.63%783.39M
----
----
----
--1.15B
--1.15B
----
Other assets
24.94%147.65M
34.26%148.73M
37.13%98.42M
37.13%98.42M
5.77%135.05M
-10.13%118.17M
-4.79%110.78M
-12.07%71.78M
-12.07%71.78M
19.00%127.68M
Total assets
-10.53%4.74B
0.88%5.25B
3.51%5.32B
3.51%5.32B
-0.23%5.19B
0.58%5.3B
-1.18%5.21B
3.81%5.14B
3.81%5.14B
8.81%5.21B
Liabilities
Policy holders liabilities reserve
-6.47%3.32B
-7.71%3.21B
9.42%3.19B
9.42%3.19B
0.60%3.5B
2.80%3.55B
0.69%3.48B
-16.02%2.92B
-16.02%2.92B
5.58%3.48B
Payables
-7.65%157.01M
-9.57%126.54M
15.80%158.67M
15.80%158.67M
34.42%153.33M
9.23%170M
10.17%139.93M
1.04%137.02M
1.04%137.02M
-18.36%114.06M
-Accounts payable
-7.65%157.01M
-9.57%126.54M
28.87%158.67M
28.87%158.67M
34.42%153.33M
9.23%170M
10.17%139.93M
-9.21%123.12M
-9.21%123.12M
-18.36%114.06M
-Total tax payable
----
----
--0
--0
----
----
----
--13.9M
--13.9M
----
Current accrued expenses
-9.02%47.77M
-2.34%42.71M
-0.28%56.72M
-0.28%56.72M
7.26%55.79M
-4.61%52.51M
-9.32%43.73M
-1.79%56.88M
-1.79%56.88M
-9.18%52.01M
Long term debt and capital lease obligation
-6.59%304.86M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
-10.92%326.36M
-10.92%326.36M
-10.92%326.36M
-Long term debt
-6.59%304.86M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
0.00%326.36M
-10.92%326.36M
-10.92%326.36M
-10.92%326.36M
Non current deferred liabilities
----
----
31.70%20.73M
31.70%20.73M
----
----
----
--15.74M
--15.74M
----
Total deposits
-90.86%25.16M
-78.04%65.24M
-33.00%65.24M
-33.00%65.24M
-23.14%257.65M
-22.15%275.33M
-20.13%297M
0.00%97.36M
0.00%97.36M
--335.23M
Other liabilities
8.68%195.93M
337.18%793.05M
-7.89%816.01M
-7.89%816.01M
-15.28%188.9M
-0.71%180.28M
25.77%181.4M
885.30%885.89M
885.30%885.89M
106.37%222.98M
Total liabilities
-11.05%4.05B
2.18%4.57B
4.49%4.64B
4.49%4.64B
-1.05%4.49B
0.64%4.56B
-0.12%4.47B
5.10%4.44B
5.10%4.44B
14.19%4.53B
Shareholders'equity
Share capital
0.00%144.91M
0.00%144.91M
0.00%144.91M
0.00%144.91M
0.00%144.91M
0.00%144.91M
0.00%144.91M
2,069,971.43%144.91M
2,069,971.43%144.91M
2,069,971.43%144.91M
-common stock
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
-Preferred stock
0.00%144.9M
0.00%144.9M
0.00%144.9M
0.00%144.9M
0.00%144.9M
0.00%144.9M
0.00%144.9M
--144.9M
--144.9M
--144.9M
Paid-in capital
0.83%879.63M
0.93%878.09M
0.85%876.24M
0.85%876.24M
0.84%874.58M
0.84%872.36M
0.83%870.04M
0.79%868.86M
0.79%868.86M
0.89%867.31M
Retained earnings
-106.50%-263.99M
-81.69%-267.07M
-82.77%-277.91M
-82.77%-277.91M
25.44%-123.22M
18.11%-127.84M
7.69%-146.99M
8.76%-152.06M
8.76%-152.06M
-85.46%-165.26M
Gains losses not affecting retained earnings
50.30%-73.85M
45.90%-71.49M
60.92%-63.72M
60.92%-63.72M
-7.75%-188.83M
-29.68%-148.6M
-136.00%-132.14M
-643.88%-163.04M
-643.88%-163.04M
-506.52%-175.25M
Total stockholders'equity
-7.31%686.69M
-6.98%684.44M
-2.74%679.52M
-2.74%679.52M
5.32%707.44M
0.21%740.82M
-7.16%735.81M
-3.68%698.66M
-3.68%698.66M
-17.44%671.7M
Total equity
-7.31%686.69M
-6.98%684.44M
-2.74%679.52M
-2.74%679.52M
5.32%707.44M
0.21%740.82M
-7.16%735.81M
-3.68%698.66M
-3.68%698.66M
-17.44%671.7M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Total investments -31.87%1.49B-22.90%1.71B16.56%1.71B16.56%1.71B0.62%2.19B7.32%2.19B4.18%2.21B-31.30%1.46B-31.30%1.46B5.56%2.18B
-Equity investments -35.96%740.02M630.06%847.54M4.16%119.95M4.16%119.95M860.35%1.13B1,071.40%1.16B12.74%116.09M6.22%115.16M6.22%115.16M18.14%118.11M
-Net loan 14.97%165.28M17.90%173.05M187.70%156.17M187.70%156.17M-5.13%152.07M-10.08%143.76M-7.74%146.77M-65.21%54.28M-65.21%54.28M3.42%160.3M
-Short term investments -36.19%549M-66.05%653.15M10.26%1.4B10.26%1.4B-52.82%871.91M-50.22%860.32M6.31%1.92B-30.18%1.27B-30.18%1.27B5.69%1.85B
-Other invested assets 30.71%35.83M21.70%33.08M20.72%33.13M20.72%33.13M-36.84%31.25M-46.61%27.42M-49.00%27.18M-47.12%27.45M-47.12%27.45M-14.33%49.47M
Cash and cash equivalents 195.95%672.52M52.83%305.5M72.30%274.3M72.30%274.3M24.20%232.92M-35.21%227.24M-26.02%199.9M-16.26%159.2M-16.26%159.2M-14.97%187.54M
Restricted cash and cash equivalents -73.50%27.96M-29.60%73.4M-29.81%72.45M-29.81%72.45M4.27%106.86M3.33%105.5M2.20%104.25M1.19%103.22M1.19%103.22M924.85%102.49M
Receivables -12.67%1.83B-14.06%1.74B9.44%1.77B9.44%1.77B-3.21%1.97B1.98%2.09B-2.25%2.03B-11.73%1.61B-11.73%1.61B13.14%2.04B
-Accounts receivable -12.67%1.83B-14.06%1.74B9.43%1.77B9.43%1.77B-3.21%1.97B1.98%2.09B-2.25%2.03B-11.56%1.61B-11.56%1.61B13.14%2.04B
-Taxes receivable ----------224K--224K--------------0--0----
Accrued investment income -41.39%9.85M-26.60%11.66M23.94%12.11M23.94%12.11M21.07%16.68M42.01%16.81M35.48%15.89M-11.50%9.77M-11.50%9.77M16.75%13.78M
Prepaid assets 14.90%321.14M10.58%289.38M8.78%293.11M8.78%293.11M1.23%284.18M-7.11%279.51M-8.08%261.69M-7.57%269.44M-7.57%269.44M-4.02%280.74M
Deferred policy acquisition costs -47.45%27.15M-50.51%26.99M-4.08%31.5M-4.08%31.5M-32.99%42.14M-14.81%51.67M-17.41%54.54M-52.08%32.84M-52.08%32.84M0.68%62.88M
Net PPE --------1,161.69%17M1,161.69%17M------------72.47%1.35M72.47%1.35M----
Goodwill and other intangible assets -1.32%214.46M-1.32%214.55M-1.32%214.64M-1.32%214.64M-1.32%214.74M-0.17%217.33M-0.17%217.42M-0.17%217.51M-0.17%217.51M-0.17%217.6M
-Goodwill 0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M0.00%181.83M
-Other intangible assets -8.07%32.63M-8.05%32.72M-8.03%32.81M-8.03%32.81M-8.00%32.9M-1.01%35.49M-1.01%35.59M-1.01%35.68M-1.01%35.68M-1.00%35.77M
Assets of discontinued operations --0--732.17M-31.63%783.39M-31.63%783.39M--------------1.15B--1.15B----
Other assets 24.94%147.65M34.26%148.73M37.13%98.42M37.13%98.42M5.77%135.05M-10.13%118.17M-4.79%110.78M-12.07%71.78M-12.07%71.78M19.00%127.68M
Total assets -10.53%4.74B0.88%5.25B3.51%5.32B3.51%5.32B-0.23%5.19B0.58%5.3B-1.18%5.21B3.81%5.14B3.81%5.14B8.81%5.21B
Liabilities
Policy holders liabilities reserve -6.47%3.32B-7.71%3.21B9.42%3.19B9.42%3.19B0.60%3.5B2.80%3.55B0.69%3.48B-16.02%2.92B-16.02%2.92B5.58%3.48B
Payables -7.65%157.01M-9.57%126.54M15.80%158.67M15.80%158.67M34.42%153.33M9.23%170M10.17%139.93M1.04%137.02M1.04%137.02M-18.36%114.06M
-Accounts payable -7.65%157.01M-9.57%126.54M28.87%158.67M28.87%158.67M34.42%153.33M9.23%170M10.17%139.93M-9.21%123.12M-9.21%123.12M-18.36%114.06M
-Total tax payable ----------0--0--------------13.9M--13.9M----
Current accrued expenses -9.02%47.77M-2.34%42.71M-0.28%56.72M-0.28%56.72M7.26%55.79M-4.61%52.51M-9.32%43.73M-1.79%56.88M-1.79%56.88M-9.18%52.01M
Long term debt and capital lease obligation -6.59%304.86M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M-10.92%326.36M-10.92%326.36M-10.92%326.36M
-Long term debt -6.59%304.86M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M0.00%326.36M-10.92%326.36M-10.92%326.36M-10.92%326.36M
Non current deferred liabilities --------31.70%20.73M31.70%20.73M--------------15.74M--15.74M----
Total deposits -90.86%25.16M-78.04%65.24M-33.00%65.24M-33.00%65.24M-23.14%257.65M-22.15%275.33M-20.13%297M0.00%97.36M0.00%97.36M--335.23M
Other liabilities 8.68%195.93M337.18%793.05M-7.89%816.01M-7.89%816.01M-15.28%188.9M-0.71%180.28M25.77%181.4M885.30%885.89M885.30%885.89M106.37%222.98M
Total liabilities -11.05%4.05B2.18%4.57B4.49%4.64B4.49%4.64B-1.05%4.49B0.64%4.56B-0.12%4.47B5.10%4.44B5.10%4.44B14.19%4.53B
Shareholders'equity
Share capital 0.00%144.91M0.00%144.91M0.00%144.91M0.00%144.91M0.00%144.91M0.00%144.91M0.00%144.91M2,069,971.43%144.91M2,069,971.43%144.91M2,069,971.43%144.91M
-common stock 0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K
-Preferred stock 0.00%144.9M0.00%144.9M0.00%144.9M0.00%144.9M0.00%144.9M0.00%144.9M0.00%144.9M--144.9M--144.9M--144.9M
Paid-in capital 0.83%879.63M0.93%878.09M0.85%876.24M0.85%876.24M0.84%874.58M0.84%872.36M0.83%870.04M0.79%868.86M0.79%868.86M0.89%867.31M
Retained earnings -106.50%-263.99M-81.69%-267.07M-82.77%-277.91M-82.77%-277.91M25.44%-123.22M18.11%-127.84M7.69%-146.99M8.76%-152.06M8.76%-152.06M-85.46%-165.26M
Gains losses not affecting retained earnings 50.30%-73.85M45.90%-71.49M60.92%-63.72M60.92%-63.72M-7.75%-188.83M-29.68%-148.6M-136.00%-132.14M-643.88%-163.04M-643.88%-163.04M-506.52%-175.25M
Total stockholders'equity -7.31%686.69M-6.98%684.44M-2.74%679.52M-2.74%679.52M5.32%707.44M0.21%740.82M-7.16%735.81M-3.68%698.66M-3.68%698.66M-17.44%671.7M
Total equity -7.31%686.69M-6.98%684.44M-2.74%679.52M-2.74%679.52M5.32%707.44M0.21%740.82M-7.16%735.81M-3.68%698.66M-3.68%698.66M-17.44%671.7M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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