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MTG MGIC Investment

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  • 24.610
  • +0.340+1.40%
Close Feb 28 16:00 ET
  • 24.610
  • 0.0000.00%
Post 16:55 ET
5.97BMarket Cap8.52P/E (TTM)

MGIC Investment 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
1.69%725.03M
-2.08%182.38M
7.72%182.88M
16.99%169.24M
-10.25%190.54M
9.68%712.96M
12.05%186.25M
39.02%169.77M
8.22%144.66M
-6.90%212.29M
Net income from continuing operations
7.02%762.99M
0.11%184.7M
9.37%199.97M
6.90%204.23M
12.65%174.1M
-17.61%712.95M
-3.62%184.5M
-26.75%182.84M
-23.35%191.05M
-11.69%154.55M
Operating gains losses
-52.42%6.93M
-106.45%-253K
306.19%918K
-86.87%830K
33.02%5.43M
49.74%14.55M
9,912.50%3.93M
-96.97%226K
316.34%6.32M
420.66%4.08M
Deferred tax
128.36%2.43M
-107.36%-312K
16.28%-1.76M
41.97%-1.62M
253.98%6.13M
124.39%1.07M
167.61%4.24M
-42.56%-2.11M
-8.96%-2.8M
-70.87%1.73M
Change in working capital
-21.91%-100M
21.29%-14.17M
7.95%-24.73M
30.93%-45.31M
-155.52%-15.79M
75.71%-82.03M
50.33%-18M
82.95%-26.87M
55.09%-65.6M
1,188.54%28.44M
-Change in receivables
-378.85%-7.32M
-58.02%-4.57M
34.27%-4.62M
-169.27%-4.04M
-57.91%5.91M
-95.26%2.62M
-302.52%-2.89M
-177.02%-7.02M
-345.90%-1.5M
-68.26%14.04M
-Change in loss and loss adjustment expense reserves
18.80%-42.72M
110.36%2.09M
-230.68%-17.04M
3.60%-26.83M
-276.85%-932K
83.84%-52.61M
55.60%-20.15M
95.84%-5.15M
77.57%-27.83M
101.63%527K
-Change in deferred acquisition costs
-35.20%2.9M
-38.05%814K
-37.89%618K
-39.85%720K
-22.80%745K
71.37%4.47M
43.92%1.31M
-3.21%995K
123.74%1.2M
625.56%965K
-Change in accrued investment income
36.32%-2.29M
-501.82%-1.66M
129.79%993K
-274.84%-2.31M
8.44%681K
-9.77%-3.6M
88.10%-275K
-170.54%-3.33M
50.12%-616K
-58.19%628K
-Change in payables and accrued expense
-95.45%-8.6M
-226.67%-1.9M
72.22%-1M
-210.00%-3.1M
-100.00%-2.6M
62.71%-4.4M
157.69%1.5M
23.40%-3.6M
72.22%-1M
-44.44%-1.3M
-Change in unearned premiums
0.24%-37.42M
-25.66%-9.19M
-37.55%-9.33M
13.27%-10.05M
25.19%-8.84M
19.16%-37.51M
42.16%-7.31M
30.78%-6.79M
-1.86%-11.59M
5.99%-11.82M
-Change in other working capital
-150.66%-4.55M
-97.49%246K
386.60%5.65M
101.25%303K
-142.32%-10.75M
203.91%8.99M
-59.71%9.82M
93.01%-1.97M
-251.18%-24.26M
1,135.41%25.4M
Cash from discontinued operating activities
Operating cash flow
1.69%725.03M
-2.08%182.38M
7.72%182.88M
16.99%169.24M
-10.25%190.54M
9.68%712.96M
12.05%186.25M
39.02%169.77M
8.22%144.66M
-6.90%212.29M
Investing cash flow
Cash flow from continuing investing activities
20.75%-142.01M
-132.10%-19.76M
83.48%-13.83M
-46.31%-134.38M
139.84%25.97M
-143.65%-179.19M
108.53%61.56M
-191.63%-83.73M
-53.45%-91.85M
-118.65%-65.18M
Net investment purchase and sale
21.55%-140.83M
-132.11%-19.25M
83.79%-13.45M
-46.27%-134.1M
140.06%25.97M
-143.39%-179.53M
97.33%59.94M
-190.54%-82.97M
-56.46%-91.68M
-118.50%-64.82M
Net PPE purchase and sale
-448.37%-1.17M
-131.61%-514K
49.87%-381K
-68.07%-279K
--0
110.36%337K
290.85%1.63M
-196.88%-760K
86.80%-166K
59.12%-363K
Cash from discontinued investing activities
Investing cash flow
20.75%-142.01M
-132.10%-19.76M
83.48%-13.83M
-46.31%-134.38M
139.84%25.97M
-143.65%-179.19M
108.53%61.56M
-191.63%-83.73M
-53.45%-91.85M
-118.65%-65.18M
Financing cash flow
Cash flow from continuing financing activities
-44.96%-719.04M
-49.45%-227.6M
-23.20%-157.25M
-81.78%-186.62M
-30.09%-147.58M
51.96%-496.04M
-35.27%-152.29M
66.67%-127.64M
28.93%-102.66M
71.10%-113.45M
Net issuance payments of debt
--0
--0
----
----
----
94.11%-28.64M
--0
----
----
----
Net common stock issuance
-68.89%-569.48M
-61.56%-194.66M
-85.86%-123.6M
-110.74%-156.03M
-24.99%-95.18M
12.55%-337.18M
-46.02%-120.49M
20.82%-66.5M
22.42%-74.04M
38.41%-76.15M
Cash dividends paid
-6.13%-130.5M
-3.53%-32.91M
-3.68%-33.65M
-6.85%-30.58M
-10.82%-33.35M
-10.83%-122.97M
-7.19%-31.79M
-6.59%-32.46M
-15.76%-28.62M
-15.26%-30.1M
Net other financing charges
-162.73%-19.07M
-81.82%-20K
--0
--0
-164.56%-19.05M
85.37%-7.26M
94.63%-11K
99.62%-47K
--0
76.62%-7.2M
Cash from discontinued financing activities
Financing cash flow
-44.96%-719.04M
-49.45%-227.6M
-23.20%-157.25M
-81.78%-186.62M
-30.09%-147.58M
51.96%-496.04M
-35.27%-152.29M
66.67%-127.64M
28.93%-102.66M
71.10%-113.45M
Net cash flow
Beginning cash position
11.33%370.64M
8.90%299.61M
-9.13%287.81M
19.91%439.57M
11.33%370.64M
9.17%332.91M
10.16%275.13M
-24.46%316.72M
-25.17%366.57M
9.17%332.91M
Current changes in cash
-460.49%-136.02M
-168.03%-64.98M
128.37%11.8M
-204.45%-151.76M
104.77%68.92M
34.97%37.73M
14.87%95.52M
75.46%-41.6M
29.43%-49.85M
-81.80%33.66M
End cash position
-36.70%234.63M
-36.70%234.63M
8.90%299.61M
-9.13%287.81M
19.91%439.57M
11.33%370.64M
11.33%370.64M
10.16%275.13M
-24.46%316.72M
-25.17%366.57M
Free cash flow
1.81%723.86M
-2.07%181.86M
8.00%182.5M
17.04%168.96M
-10.09%190.54M
9.93%710.96M
12.30%185.7M
38.67%168.98M
9.02%144.35M
-6.69%211.92M
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
--
--
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 1.69%725.03M-2.08%182.38M7.72%182.88M16.99%169.24M-10.25%190.54M9.68%712.96M12.05%186.25M39.02%169.77M8.22%144.66M-6.90%212.29M
Net income from continuing operations 7.02%762.99M0.11%184.7M9.37%199.97M6.90%204.23M12.65%174.1M-17.61%712.95M-3.62%184.5M-26.75%182.84M-23.35%191.05M-11.69%154.55M
Operating gains losses -52.42%6.93M-106.45%-253K306.19%918K-86.87%830K33.02%5.43M49.74%14.55M9,912.50%3.93M-96.97%226K316.34%6.32M420.66%4.08M
Deferred tax 128.36%2.43M-107.36%-312K16.28%-1.76M41.97%-1.62M253.98%6.13M124.39%1.07M167.61%4.24M-42.56%-2.11M-8.96%-2.8M-70.87%1.73M
Change in working capital -21.91%-100M21.29%-14.17M7.95%-24.73M30.93%-45.31M-155.52%-15.79M75.71%-82.03M50.33%-18M82.95%-26.87M55.09%-65.6M1,188.54%28.44M
-Change in receivables -378.85%-7.32M-58.02%-4.57M34.27%-4.62M-169.27%-4.04M-57.91%5.91M-95.26%2.62M-302.52%-2.89M-177.02%-7.02M-345.90%-1.5M-68.26%14.04M
-Change in loss and loss adjustment expense reserves 18.80%-42.72M110.36%2.09M-230.68%-17.04M3.60%-26.83M-276.85%-932K83.84%-52.61M55.60%-20.15M95.84%-5.15M77.57%-27.83M101.63%527K
-Change in deferred acquisition costs -35.20%2.9M-38.05%814K-37.89%618K-39.85%720K-22.80%745K71.37%4.47M43.92%1.31M-3.21%995K123.74%1.2M625.56%965K
-Change in accrued investment income 36.32%-2.29M-501.82%-1.66M129.79%993K-274.84%-2.31M8.44%681K-9.77%-3.6M88.10%-275K-170.54%-3.33M50.12%-616K-58.19%628K
-Change in payables and accrued expense -95.45%-8.6M-226.67%-1.9M72.22%-1M-210.00%-3.1M-100.00%-2.6M62.71%-4.4M157.69%1.5M23.40%-3.6M72.22%-1M-44.44%-1.3M
-Change in unearned premiums 0.24%-37.42M-25.66%-9.19M-37.55%-9.33M13.27%-10.05M25.19%-8.84M19.16%-37.51M42.16%-7.31M30.78%-6.79M-1.86%-11.59M5.99%-11.82M
-Change in other working capital -150.66%-4.55M-97.49%246K386.60%5.65M101.25%303K-142.32%-10.75M203.91%8.99M-59.71%9.82M93.01%-1.97M-251.18%-24.26M1,135.41%25.4M
Cash from discontinued operating activities
Operating cash flow 1.69%725.03M-2.08%182.38M7.72%182.88M16.99%169.24M-10.25%190.54M9.68%712.96M12.05%186.25M39.02%169.77M8.22%144.66M-6.90%212.29M
Investing cash flow
Cash flow from continuing investing activities 20.75%-142.01M-132.10%-19.76M83.48%-13.83M-46.31%-134.38M139.84%25.97M-143.65%-179.19M108.53%61.56M-191.63%-83.73M-53.45%-91.85M-118.65%-65.18M
Net investment purchase and sale 21.55%-140.83M-132.11%-19.25M83.79%-13.45M-46.27%-134.1M140.06%25.97M-143.39%-179.53M97.33%59.94M-190.54%-82.97M-56.46%-91.68M-118.50%-64.82M
Net PPE purchase and sale -448.37%-1.17M-131.61%-514K49.87%-381K-68.07%-279K--0110.36%337K290.85%1.63M-196.88%-760K86.80%-166K59.12%-363K
Cash from discontinued investing activities
Investing cash flow 20.75%-142.01M-132.10%-19.76M83.48%-13.83M-46.31%-134.38M139.84%25.97M-143.65%-179.19M108.53%61.56M-191.63%-83.73M-53.45%-91.85M-118.65%-65.18M
Financing cash flow
Cash flow from continuing financing activities -44.96%-719.04M-49.45%-227.6M-23.20%-157.25M-81.78%-186.62M-30.09%-147.58M51.96%-496.04M-35.27%-152.29M66.67%-127.64M28.93%-102.66M71.10%-113.45M
Net issuance payments of debt --0--0------------94.11%-28.64M--0------------
Net common stock issuance -68.89%-569.48M-61.56%-194.66M-85.86%-123.6M-110.74%-156.03M-24.99%-95.18M12.55%-337.18M-46.02%-120.49M20.82%-66.5M22.42%-74.04M38.41%-76.15M
Cash dividends paid -6.13%-130.5M-3.53%-32.91M-3.68%-33.65M-6.85%-30.58M-10.82%-33.35M-10.83%-122.97M-7.19%-31.79M-6.59%-32.46M-15.76%-28.62M-15.26%-30.1M
Net other financing charges -162.73%-19.07M-81.82%-20K--0--0-164.56%-19.05M85.37%-7.26M94.63%-11K99.62%-47K--076.62%-7.2M
Cash from discontinued financing activities
Financing cash flow -44.96%-719.04M-49.45%-227.6M-23.20%-157.25M-81.78%-186.62M-30.09%-147.58M51.96%-496.04M-35.27%-152.29M66.67%-127.64M28.93%-102.66M71.10%-113.45M
Net cash flow
Beginning cash position 11.33%370.64M8.90%299.61M-9.13%287.81M19.91%439.57M11.33%370.64M9.17%332.91M10.16%275.13M-24.46%316.72M-25.17%366.57M9.17%332.91M
Current changes in cash -460.49%-136.02M-168.03%-64.98M128.37%11.8M-204.45%-151.76M104.77%68.92M34.97%37.73M14.87%95.52M75.46%-41.6M29.43%-49.85M-81.80%33.66M
End cash position -36.70%234.63M-36.70%234.63M8.90%299.61M-9.13%287.81M19.91%439.57M11.33%370.64M11.33%370.64M10.16%275.13M-24.46%316.72M-25.17%366.57M
Free cash flow 1.81%723.86M-2.07%181.86M8.00%182.5M17.04%168.96M-10.09%190.54M9.93%710.96M12.30%185.7M38.67%168.98M9.02%144.35M-6.69%211.92M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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