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MBI MBIA

Watchlist
  • 5.490
  • -0.040-0.72%
Close Mar 4 16:00 ET
  • 5.490
  • 0.0000.00%
Post 16:05 ET
279.83MMarket Cap-0.58P/E (TTM)

MBIA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Assets
Total investments
-15.34%1.68B
-15.34%1.68B
-28.43%1.72B
-34.29%1.67B
-33.07%1.86B
-29.03%1.99B
-29.03%1.99B
-24.94%2.4B
-18.08%2.54B
-22.70%2.79B
-Equity investments
-33.98%237M
-33.98%237M
-39.40%223M
872.73%214M
--343M
-35.66%359M
-35.66%359M
-33.81%368M
-94.26%22M
----
-Net loan
-20.00%28M
-20.00%28M
-6.25%30M
-55.71%31M
-56.63%36M
-55.13%35M
-55.13%35M
-59.49%32M
2.94%70M
9.21%83M
-Short term investments
-10.94%1.42B
-10.94%1.42B
-26.71%1.47B
-32.35%1.42B
-36.26%1.48B
-26.51%1.59B
-26.51%1.59B
-22.07%2B
-20.67%2.1B
-25.43%2.33B
-Other invested assets
-66.67%1M
-66.67%1M
-66.67%1M
-99.42%2M
-99.20%3M
--3M
--3M
--3M
--346M
--377M
Cash and cash equivalents
-18.69%87M
-18.69%87M
0.00%74M
-8.37%197M
65.06%137M
62.12%107M
62.12%107M
-33.33%74M
3.86%215M
-45.03%83M
Receivables
-3.34%318M
-3.34%318M
3.66%340M
10.98%283M
27.06%324M
10.77%329M
10.77%329M
-25.45%328M
-58.47%255M
-53.04%255M
-Accounts receivable
-3.34%318M
-3.34%318M
3.66%340M
10.98%283M
27.06%324M
10.77%329M
10.77%329M
-25.45%328M
-58.47%255M
-53.04%255M
Deferred policy acquisition costs
-12.90%27M
-12.90%27M
-12.50%28M
-12.12%29M
-14.29%30M
-11.43%31M
-11.43%31M
-15.79%32M
-15.38%33M
-14.63%35M
Assets of discontinued operations
-84.93%11M
-84.93%11M
-83.78%12M
-19.32%71M
-10.84%74M
-8.75%73M
-8.75%73M
-43.94%74M
--88M
--83M
Other assets
-46.15%42M
-46.15%42M
-28.75%57M
-55.81%57M
-22.37%59M
-18.75%78M
-18.75%78M
-14.89%80M
17.27%129M
-27.62%76M
Total assets
-16.81%2.17B
-16.81%2.17B
-25.42%2.23B
-29.26%2.3B
-24.99%2.49B
-22.79%2.61B
-22.79%2.61B
-25.53%2.99B
-19.92%3.26B
-25.34%3.32B
Liabilities
Policy holders liabilities reserve
2.84%725M
2.84%725M
6.09%732M
30.00%793M
9.12%694M
0.00%705M
0.00%705M
-48.28%690M
-51.66%610M
-46.73%636M
Long term debt and capital lease obligation
1.93%3.22B
1.93%3.22B
1.95%3.18B
-1.66%3.13B
0.10%3.13B
1.93%3.16B
1.93%3.16B
2.29%3.12B
3.78%3.19B
-2.73%3.13B
-Long term debt
1.93%3.22B
1.93%3.22B
1.95%3.18B
-1.66%3.13B
0.10%3.13B
1.93%3.16B
1.93%3.16B
2.29%3.12B
3.78%3.19B
-2.73%3.13B
Derivative product liabilities
-57.14%6M
-57.14%6M
-76.47%8M
-85.00%9M
-77.94%15M
-74.55%14M
-74.55%14M
-37.04%34M
-16.67%60M
-31.31%68M
Other liabilities
-22.10%289M
-22.10%289M
-20.70%295M
-8.97%355M
-3.40%369M
-4.38%371M
-4.38%371M
-12.26%372M
-2.26%390M
-21.07%382M
Total liabilities
-0.21%4.24B
-0.21%4.24B
0.00%4.22B
1.04%4.29B
-0.12%4.21B
0.05%4.25B
0.05%4.25B
-13.28%4.22B
-11.60%4.25B
-15.60%4.22B
Shareholders'equity
Share capital
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
-common stock
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
0.00%283M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Paid-in capital
-0.91%2.49B
-0.91%2.49B
-14.94%2.48B
-14.82%2.48B
-14.72%2.49B
-14.02%2.52B
-14.02%2.52B
-0.07%2.92B
-0.14%2.92B
-0.14%2.92B
Retained earnings
-39.07%-1.59B
-39.07%-1.59B
-53.08%-1.54B
-80.98%-1.48B
-64.88%-1.23B
-75.19%-1.14B
-75.19%-1.14B
-67.39%-1.01B
-44.62%-820M
-40.49%-746M
Gains losses not affecting retained earnings
7.91%-128M
7.91%-128M
66.54%-88M
35.68%-137M
40.72%-131M
50.88%-139M
50.88%-139M
16.24%-263M
7.79%-213M
-169.51%-221M
Less: Treasury stock
-0.85%3.15B
-0.85%3.15B
-1.04%3.14B
-0.82%3.14B
-0.06%3.14B
0.57%3.17B
0.57%3.17B
0.63%3.17B
0.41%3.17B
-0.35%3.14B
Total stockholders'equity
-26.07%-2.09B
-26.07%-2.09B
-61.50%-2B
-99.40%-1.99B
-90.02%-1.73B
-87.87%-1.66B
-87.87%-1.66B
-43.57%-1.24B
-33.69%-1B
-61.42%-912M
Noncontrolling interests
30.00%13M
30.00%13M
18.18%13M
-25.00%9M
-23.08%10M
66.67%10M
66.67%10M
-21.43%11M
-7.69%12M
0.00%13M
Total equity
-26.05%-2.08B
-26.05%-2.08B
-61.89%-1.99B
-100.91%-1.99B
-91.66%-1.72B
-88.01%-1.65B
-88.01%-1.65B
-44.64%-1.23B
-34.42%-988M
-62.86%-899M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Assets
Total investments -15.34%1.68B-15.34%1.68B-28.43%1.72B-34.29%1.67B-33.07%1.86B-29.03%1.99B-29.03%1.99B-24.94%2.4B-18.08%2.54B-22.70%2.79B
-Equity investments -33.98%237M-33.98%237M-39.40%223M872.73%214M--343M-35.66%359M-35.66%359M-33.81%368M-94.26%22M----
-Net loan -20.00%28M-20.00%28M-6.25%30M-55.71%31M-56.63%36M-55.13%35M-55.13%35M-59.49%32M2.94%70M9.21%83M
-Short term investments -10.94%1.42B-10.94%1.42B-26.71%1.47B-32.35%1.42B-36.26%1.48B-26.51%1.59B-26.51%1.59B-22.07%2B-20.67%2.1B-25.43%2.33B
-Other invested assets -66.67%1M-66.67%1M-66.67%1M-99.42%2M-99.20%3M--3M--3M--3M--346M--377M
Cash and cash equivalents -18.69%87M-18.69%87M0.00%74M-8.37%197M65.06%137M62.12%107M62.12%107M-33.33%74M3.86%215M-45.03%83M
Receivables -3.34%318M-3.34%318M3.66%340M10.98%283M27.06%324M10.77%329M10.77%329M-25.45%328M-58.47%255M-53.04%255M
-Accounts receivable -3.34%318M-3.34%318M3.66%340M10.98%283M27.06%324M10.77%329M10.77%329M-25.45%328M-58.47%255M-53.04%255M
Deferred policy acquisition costs -12.90%27M-12.90%27M-12.50%28M-12.12%29M-14.29%30M-11.43%31M-11.43%31M-15.79%32M-15.38%33M-14.63%35M
Assets of discontinued operations -84.93%11M-84.93%11M-83.78%12M-19.32%71M-10.84%74M-8.75%73M-8.75%73M-43.94%74M--88M--83M
Other assets -46.15%42M-46.15%42M-28.75%57M-55.81%57M-22.37%59M-18.75%78M-18.75%78M-14.89%80M17.27%129M-27.62%76M
Total assets -16.81%2.17B-16.81%2.17B-25.42%2.23B-29.26%2.3B-24.99%2.49B-22.79%2.61B-22.79%2.61B-25.53%2.99B-19.92%3.26B-25.34%3.32B
Liabilities
Policy holders liabilities reserve 2.84%725M2.84%725M6.09%732M30.00%793M9.12%694M0.00%705M0.00%705M-48.28%690M-51.66%610M-46.73%636M
Long term debt and capital lease obligation 1.93%3.22B1.93%3.22B1.95%3.18B-1.66%3.13B0.10%3.13B1.93%3.16B1.93%3.16B2.29%3.12B3.78%3.19B-2.73%3.13B
-Long term debt 1.93%3.22B1.93%3.22B1.95%3.18B-1.66%3.13B0.10%3.13B1.93%3.16B1.93%3.16B2.29%3.12B3.78%3.19B-2.73%3.13B
Derivative product liabilities -57.14%6M-57.14%6M-76.47%8M-85.00%9M-77.94%15M-74.55%14M-74.55%14M-37.04%34M-16.67%60M-31.31%68M
Other liabilities -22.10%289M-22.10%289M-20.70%295M-8.97%355M-3.40%369M-4.38%371M-4.38%371M-12.26%372M-2.26%390M-21.07%382M
Total liabilities -0.21%4.24B-0.21%4.24B0.00%4.22B1.04%4.29B-0.12%4.21B0.05%4.25B0.05%4.25B-13.28%4.22B-11.60%4.25B-15.60%4.22B
Shareholders'equity
Share capital 0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M
-common stock 0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M0.00%283M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Paid-in capital -0.91%2.49B-0.91%2.49B-14.94%2.48B-14.82%2.48B-14.72%2.49B-14.02%2.52B-14.02%2.52B-0.07%2.92B-0.14%2.92B-0.14%2.92B
Retained earnings -39.07%-1.59B-39.07%-1.59B-53.08%-1.54B-80.98%-1.48B-64.88%-1.23B-75.19%-1.14B-75.19%-1.14B-67.39%-1.01B-44.62%-820M-40.49%-746M
Gains losses not affecting retained earnings 7.91%-128M7.91%-128M66.54%-88M35.68%-137M40.72%-131M50.88%-139M50.88%-139M16.24%-263M7.79%-213M-169.51%-221M
Less: Treasury stock -0.85%3.15B-0.85%3.15B-1.04%3.14B-0.82%3.14B-0.06%3.14B0.57%3.17B0.57%3.17B0.63%3.17B0.41%3.17B-0.35%3.14B
Total stockholders'equity -26.07%-2.09B-26.07%-2.09B-61.50%-2B-99.40%-1.99B-90.02%-1.73B-87.87%-1.66B-87.87%-1.66B-43.57%-1.24B-33.69%-1B-61.42%-912M
Noncontrolling interests 30.00%13M30.00%13M18.18%13M-25.00%9M-23.08%10M66.67%10M66.67%10M-21.43%11M-7.69%12M0.00%13M
Total equity -26.05%-2.08B-26.05%-2.08B-61.89%-1.99B-100.91%-1.99B-91.66%-1.72B-88.01%-1.65B-88.01%-1.65B-44.64%-1.23B-34.42%-988M-62.86%-899M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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