US Stock MarketDetailed Quotes

KFS Kingsway Financial Services

Watchlist
  • 8.890
  • +0.150+1.72%
Close Oct 16 16:00 ET
247.24MMarket Cap-32925P/E (TTM)

Kingsway Financial Services 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
-8.73%40.85M
-19.86%41.84M
-26.44%41.88M
-26.44%41.88M
-40.98%41.52M
-35.30%44.76M
-22.76%52.21M
-16.81%56.93M
-16.81%56.93M
3.72%70.35M
-Equity investments
883.95%28.88M
2,219.46%28.48M
19,919.61%30.63M
19,919.61%30.63M
62.70%205K
2,140.46%2.94M
626.63%1.23M
-14.53%153K
-14.53%153K
-32.62%126K
-Investments in other ventures under equity method
-17.95%4.41M
-62.18%5.1M
-72.59%5.16M
-72.59%5.16M
-74.89%5.27M
-74.38%5.38M
-36.51%13.47M
-12.48%18.83M
-12.48%18.83M
-5.51%20.98M
-Short term investments
-79.20%7.56M
-77.85%8.27M
-83.89%6.08M
-83.89%6.08M
-2.47%35.98M
-2.20%36.35M
5.69%37.32M
5.37%37.75M
5.37%37.75M
6.93%36.89M
-Other invested assets
----
----
-97.01%6K
-97.01%6K
-99.44%69K
-99.13%95K
-98.20%196K
-98.16%201K
-98.16%201K
12.99%12.35M
Cash and cash equivalents
-32.26%9.59M
46.09%12.11M
-85.82%9.1M
-85.82%9.1M
-58.51%20.18M
21.00%14.16M
-36.48%8.29M
536.33%64.17M
536.33%64.17M
168.15%48.64M
Restricted cash and cash equivalents
-13.06%8.36M
-30.99%7.91M
-35.70%8.4M
-35.70%8.4M
-30.85%9.1M
-33.63%9.62M
-31.30%11.46M
-24.30%13.06M
-24.30%13.06M
-27.43%13.17M
Receivables
-6.50%10.87M
-8.51%11.78M
-13.66%12.11M
-13.66%12.11M
-45.79%10.87M
-44.75%11.62M
-41.99%12.88M
31.21%14.02M
31.21%14.02M
5.82%20.05M
-Accounts receivable
-2.27%9.84M
-0.54%10.5M
-2.14%10.08M
-2.14%10.08M
30.57%9.43M
18.71%10.07M
21.12%10.55M
54.81%10.3M
54.81%10.3M
11.04%7.22M
-Taxes receivable
201.85%652K
--938K
--1.3M
--1.3M
--406K
517.14%216K
----
--0
--0
----
-Other receivables
-71.95%375K
-85.11%346K
-80.48%726K
-80.48%726K
-91.93%1.04M
-89.32%1.34M
-82.77%2.32M
-7.74%3.72M
-7.74%3.72M
3.09%12.83M
Accrued investment income
10.60%970K
10.64%988K
-23.51%914K
-23.51%914K
-16.83%944K
-14.94%877K
-14.30%893K
17.97%1.2M
17.97%1.2M
19.35%1.14M
Deferred policy acquisition costs
1.46%13.99M
----
----
----
6.33%13.89M
9.31%13.79M
12.79%13.48M
----
----
44.41%13.07M
Deferred assets
----
--13.79M
3.60%13.73M
3.60%13.73M
----
----
----
--13.26M
--13.26M
----
Net PPE
73.32%2.72M
78.93%3.07M
62.47%2.74M
62.47%2.74M
-98.62%1.48M
-98.56%1.57M
-98.44%1.72M
-49.72%1.68M
-49.72%1.68M
12.40%106.91M
Goodwill and other intangible assets
8.99%82.57M
9.11%84.2M
9.45%86.03M
9.45%86.03M
-61.82%77.22M
-64.84%75.76M
-64.43%77.17M
-1.87%78.6M
-1.87%78.6M
-0.17%202.26M
-Goodwill
11.61%50.77M
10.91%50.45M
10.68%50.36M
10.68%50.36M
-53.96%46.4M
-58.74%45.49M
-58.74%45.49M
-7.64%45.5M
-7.64%45.5M
-1.53%100.77M
-Other intangible assets
5.04%31.8M
6.51%33.74M
7.77%35.67M
7.77%35.67M
-69.64%30.82M
-71.23%30.27M
-70.31%31.68M
7.35%33.1M
7.35%33.1M
1.23%101.49M
Assets of discontinued operations
-10.91%17.33M
-10.79%17.31M
-8.86%17.75M
-8.86%17.75M
--19.47M
--19.46M
--19.4M
-92.77%19.48M
-92.77%19.48M
----
Other assets
36.33%5.09M
32.37%4.96M
-78.21%5.07M
-78.21%5.07M
-88.95%3.37M
-75.49%3.73M
-75.36%3.75M
429.11%23.25M
429.11%23.25M
91.57%30.48M
Total assets
-1.54%192.34M
-1.63%197.97M
-30.78%197.72M
-30.78%197.72M
-60.87%198.04M
-58.40%195.34M
-57.59%201.26M
-39.94%285.65M
-39.94%285.65M
13.29%506.06M
Liabilities
Payables
----
----
----
----
----
----
329.40%1.78M
221.43%945K
221.43%945K
916.41%2.6M
-Total tax payable
----
----
--0
--0
--0
--0
329.40%1.78M
221.43%945K
221.43%945K
916.41%2.6M
Long term debt and capital lease obligation
12.55%48.74M
9.81%48.52M
-55.85%45.61M
-55.85%45.61M
-85.22%42.11M
-84.73%43.31M
-84.88%44.18M
6.97%103.31M
6.97%103.31M
3.92%284.81M
-Long term debt
12.42%47.27M
9.83%47.06M
-56.49%44.42M
-56.49%44.42M
-85.57%40.94M
-85.06%42.05M
-85.23%42.85M
8.49%102.09M
8.49%102.09M
4.47%283.63M
-Long term capital lease obligation
16.59%1.47M
9.23%1.46M
-1.56%1.2M
-1.56%1.2M
-1.60%1.17M
-37.59%1.26M
-40.04%1.33M
-50.91%1.22M
-50.91%1.22M
-54.27%1.19M
Non current deferred liabilities
2.92%89.67M
2.69%88.96M
2.47%89.04M
2.47%89.04M
-24.99%86.77M
-26.90%87.12M
-26.54%86.63M
-26.22%86.89M
-26.22%86.89M
0.01%115.68M
Other liabilities
-14.60%36.72M
-7.10%39.85M
-46.87%38.46M
-46.87%38.46M
-23.97%41.04M
-17.27%43M
-17.67%42.9M
-70.60%72.39M
-70.60%72.39M
29.54%53.98M
Total liabilities
0.98%175.13M
1.05%177.33M
-34.31%173.11M
-34.31%173.11M
-62.83%169.92M
-61.86%173.42M
-62.07%175.49M
-42.82%263.53M
-42.82%263.53M
5.56%457.08M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
-81.46%1.22M
-7.45%6.01M
-7.45%6.01M
-14.06%5.94M
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Preferred stock
----
----
--0
--0
--0
--0
-81.46%1.22M
-7.45%6.01M
-7.45%6.01M
-14.06%5.94M
Paid-in capital
2.00%378.55M
1.87%378.29M
5.51%379.81M
5.51%379.81M
5.56%379.19M
3.22%371.12M
3.34%371.36M
0.24%359.99M
0.24%359.99M
0.28%359.2M
Retained earnings
-2.24%-351.72M
-1.98%-349.35M
6.36%-346.87M
6.36%-346.87M
4.72%-345.05M
14.09%-344.03M
13.88%-342.59M
6.26%-370.43M
6.26%-370.43M
8.52%-362.13M
Gains losses not affecting retained earnings
-21.30%-1.53M
-167.34%-1.59M
-105.79%-1.54M
-105.79%-1.54M
-103.97%-1.27M
-103.49%-1.26M
-101.94%-594K
-13.56%26.61M
-13.56%26.61M
1.88%31.96M
Less: Treasury stock
756.35%4.65M
664.23%3.76M
651.22%3.7M
651.22%3.7M
163.01%1.29M
10.37%543K
0.00%492K
0.00%492K
0.00%492K
0.00%492K
Total stockholders'equity
-18.31%20.66M
-18.39%23.59M
27.79%27.71M
27.79%27.71M
-8.43%31.58M
1,929.86%25.29M
1,744.14%28.9M
2,705.17%21.68M
2,705.17%21.68M
24,887.68%34.48M
Noncontrolling interests
-2.16%-3.45M
6.03%-2.95M
-808.92%-3.1M
-808.92%-3.1M
-123.79%-3.45M
-124.63%-3.37M
-122.99%-3.14M
-96.87%437K
-96.87%437K
7.26%14.5M
Total equity
-21.46%17.22M
-19.90%20.64M
11.26%24.61M
11.26%24.61M
-42.57%28.13M
46.74%21.92M
116.97%25.77M
49.93%22.12M
49.93%22.12M
258.72%48.98M
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 -8.73%40.85M-19.86%41.84M-26.44%41.88M-26.44%41.88M-40.98%41.52M-35.30%44.76M-22.76%52.21M-16.81%56.93M-16.81%56.93M3.72%70.35M
-Equity investments 883.95%28.88M2,219.46%28.48M19,919.61%30.63M19,919.61%30.63M62.70%205K2,140.46%2.94M626.63%1.23M-14.53%153K-14.53%153K-32.62%126K
-Investments in other ventures under equity method -17.95%4.41M-62.18%5.1M-72.59%5.16M-72.59%5.16M-74.89%5.27M-74.38%5.38M-36.51%13.47M-12.48%18.83M-12.48%18.83M-5.51%20.98M
-Short term investments -79.20%7.56M-77.85%8.27M-83.89%6.08M-83.89%6.08M-2.47%35.98M-2.20%36.35M5.69%37.32M5.37%37.75M5.37%37.75M6.93%36.89M
-Other invested assets ---------97.01%6K-97.01%6K-99.44%69K-99.13%95K-98.20%196K-98.16%201K-98.16%201K12.99%12.35M
Cash and cash equivalents -32.26%9.59M46.09%12.11M-85.82%9.1M-85.82%9.1M-58.51%20.18M21.00%14.16M-36.48%8.29M536.33%64.17M536.33%64.17M168.15%48.64M
Restricted cash and cash equivalents -13.06%8.36M-30.99%7.91M-35.70%8.4M-35.70%8.4M-30.85%9.1M-33.63%9.62M-31.30%11.46M-24.30%13.06M-24.30%13.06M-27.43%13.17M
Receivables -6.50%10.87M-8.51%11.78M-13.66%12.11M-13.66%12.11M-45.79%10.87M-44.75%11.62M-41.99%12.88M31.21%14.02M31.21%14.02M5.82%20.05M
-Accounts receivable -2.27%9.84M-0.54%10.5M-2.14%10.08M-2.14%10.08M30.57%9.43M18.71%10.07M21.12%10.55M54.81%10.3M54.81%10.3M11.04%7.22M
-Taxes receivable 201.85%652K--938K--1.3M--1.3M--406K517.14%216K------0--0----
-Other receivables -71.95%375K-85.11%346K-80.48%726K-80.48%726K-91.93%1.04M-89.32%1.34M-82.77%2.32M-7.74%3.72M-7.74%3.72M3.09%12.83M
Accrued investment income 10.60%970K10.64%988K-23.51%914K-23.51%914K-16.83%944K-14.94%877K-14.30%893K17.97%1.2M17.97%1.2M19.35%1.14M
Deferred policy acquisition costs 1.46%13.99M------------6.33%13.89M9.31%13.79M12.79%13.48M--------44.41%13.07M
Deferred assets ------13.79M3.60%13.73M3.60%13.73M--------------13.26M--13.26M----
Net PPE 73.32%2.72M78.93%3.07M62.47%2.74M62.47%2.74M-98.62%1.48M-98.56%1.57M-98.44%1.72M-49.72%1.68M-49.72%1.68M12.40%106.91M
Goodwill and other intangible assets 8.99%82.57M9.11%84.2M9.45%86.03M9.45%86.03M-61.82%77.22M-64.84%75.76M-64.43%77.17M-1.87%78.6M-1.87%78.6M-0.17%202.26M
-Goodwill 11.61%50.77M10.91%50.45M10.68%50.36M10.68%50.36M-53.96%46.4M-58.74%45.49M-58.74%45.49M-7.64%45.5M-7.64%45.5M-1.53%100.77M
-Other intangible assets 5.04%31.8M6.51%33.74M7.77%35.67M7.77%35.67M-69.64%30.82M-71.23%30.27M-70.31%31.68M7.35%33.1M7.35%33.1M1.23%101.49M
Assets of discontinued operations -10.91%17.33M-10.79%17.31M-8.86%17.75M-8.86%17.75M--19.47M--19.46M--19.4M-92.77%19.48M-92.77%19.48M----
Other assets 36.33%5.09M32.37%4.96M-78.21%5.07M-78.21%5.07M-88.95%3.37M-75.49%3.73M-75.36%3.75M429.11%23.25M429.11%23.25M91.57%30.48M
Total assets -1.54%192.34M-1.63%197.97M-30.78%197.72M-30.78%197.72M-60.87%198.04M-58.40%195.34M-57.59%201.26M-39.94%285.65M-39.94%285.65M13.29%506.06M
Liabilities
Payables ------------------------329.40%1.78M221.43%945K221.43%945K916.41%2.6M
-Total tax payable ----------0--0--0--0329.40%1.78M221.43%945K221.43%945K916.41%2.6M
Long term debt and capital lease obligation 12.55%48.74M9.81%48.52M-55.85%45.61M-55.85%45.61M-85.22%42.11M-84.73%43.31M-84.88%44.18M6.97%103.31M6.97%103.31M3.92%284.81M
-Long term debt 12.42%47.27M9.83%47.06M-56.49%44.42M-56.49%44.42M-85.57%40.94M-85.06%42.05M-85.23%42.85M8.49%102.09M8.49%102.09M4.47%283.63M
-Long term capital lease obligation 16.59%1.47M9.23%1.46M-1.56%1.2M-1.56%1.2M-1.60%1.17M-37.59%1.26M-40.04%1.33M-50.91%1.22M-50.91%1.22M-54.27%1.19M
Non current deferred liabilities 2.92%89.67M2.69%88.96M2.47%89.04M2.47%89.04M-24.99%86.77M-26.90%87.12M-26.54%86.63M-26.22%86.89M-26.22%86.89M0.01%115.68M
Other liabilities -14.60%36.72M-7.10%39.85M-46.87%38.46M-46.87%38.46M-23.97%41.04M-17.27%43M-17.67%42.9M-70.60%72.39M-70.60%72.39M29.54%53.98M
Total liabilities 0.98%175.13M1.05%177.33M-34.31%173.11M-34.31%173.11M-62.83%169.92M-61.86%173.42M-62.07%175.49M-42.82%263.53M-42.82%263.53M5.56%457.08M
Shareholders'equity
Share capital --0--0--0--0--0--0-81.46%1.22M-7.45%6.01M-7.45%6.01M-14.06%5.94M
-common stock --0--0--0--0--0--0--0--0--0--0
-Preferred stock ----------0--0--0--0-81.46%1.22M-7.45%6.01M-7.45%6.01M-14.06%5.94M
Paid-in capital 2.00%378.55M1.87%378.29M5.51%379.81M5.51%379.81M5.56%379.19M3.22%371.12M3.34%371.36M0.24%359.99M0.24%359.99M0.28%359.2M
Retained earnings -2.24%-351.72M-1.98%-349.35M6.36%-346.87M6.36%-346.87M4.72%-345.05M14.09%-344.03M13.88%-342.59M6.26%-370.43M6.26%-370.43M8.52%-362.13M
Gains losses not affecting retained earnings -21.30%-1.53M-167.34%-1.59M-105.79%-1.54M-105.79%-1.54M-103.97%-1.27M-103.49%-1.26M-101.94%-594K-13.56%26.61M-13.56%26.61M1.88%31.96M
Less: Treasury stock 756.35%4.65M664.23%3.76M651.22%3.7M651.22%3.7M163.01%1.29M10.37%543K0.00%492K0.00%492K0.00%492K0.00%492K
Total stockholders'equity -18.31%20.66M-18.39%23.59M27.79%27.71M27.79%27.71M-8.43%31.58M1,929.86%25.29M1,744.14%28.9M2,705.17%21.68M2,705.17%21.68M24,887.68%34.48M
Noncontrolling interests -2.16%-3.45M6.03%-2.95M-808.92%-3.1M-808.92%-3.1M-123.79%-3.45M-124.63%-3.37M-122.99%-3.14M-96.87%437K-96.87%437K7.26%14.5M
Total equity -21.46%17.22M-19.90%20.64M11.26%24.61M11.26%24.61M-42.57%28.13M46.74%21.92M116.97%25.77M49.93%22.12M49.93%22.12M258.72%48.98M
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

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