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RSNAY RSA INS GRP ADR

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15min DelayClose Jul 12 09:30 ET
0Market Cap0.00P/E (TTM)

RSA INS GRP ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q2)Jun 30, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q2)Jun 30, 2019
Assets
-Net loan
43.26%404M
-16.32%359M
-16.32%359M
-23.37%282M
26.92%429M
26.92%429M
24.75%368M
35.74%338M
35.74%338M
9.26%295M
-Short term investments
9.13%5.19B
-54.63%5.17B
-54.63%5.17B
-57.77%4.76B
2.96%11.4B
2.96%11.4B
-0.28%11.26B
-1.25%11.07B
-1.25%11.07B
0.39%11.3B
Cash and cash equivalents
-73.43%296M
-54.30%500M
-54.30%500M
20.04%1.11B
24.32%1.09B
24.32%1.09B
13.45%928M
10.97%880M
10.97%880M
5.14%818M
Restricted cash and cash equivalents
----
----
----
----
----
----
----
--29M
--29M
----
-Accounts receivable
-0.26%1.92B
-35.90%1.92B
-35.90%1.92B
-37.49%1.93B
2.26%2.99B
2.26%2.99B
0.69%3.08B
-1.48%2.92B
-1.48%2.92B
-1.67%3.06B
-Taxes receivable
-33.33%2M
-91.30%2M
-91.30%2M
-88.00%3M
27.78%23M
27.78%23M
-68.35%25M
-74.65%18M
-74.65%18M
88.10%79M
-Other receivables
19.34%827M
-41.76%159M
-41.76%159M
-28.41%693M
-1.09%273M
-1.09%273M
41.73%968M
-7.38%276M
-7.38%276M
-0.29%683M
Prepaid assets
-4.06%779M
-12.20%684M
-12.20%684M
--812M
-2.63%779M
-2.63%779M
----
1,150.00%800M
1,150.00%800M
----
Net PPE
-19.83%93M
-61.60%91M
-61.60%91M
-60.41%116M
-19.93%237M
-19.93%237M
-10.94%293M
228.89%296M
228.89%296M
210.38%329M
Goodwill and other intangible assets
9.86%323M
-64.06%312M
-64.06%312M
-66.17%294M
3.70%868M
3.70%868M
5.33%869M
5.42%837M
5.42%837M
5.77%825M
-Goodwill
2.50%41M
-88.18%39M
-88.18%39M
-88.47%40M
-2.08%330M
-2.08%330M
-1.42%347M
-3.44%337M
-3.44%337M
-1.40%352M
-Other intangible assets
11.02%282M
-49.26%273M
-49.26%273M
-51.34%254M
7.60%538M
7.60%538M
10.36%522M
12.36%500M
12.36%500M
11.82%473M
Defined pension benefit
----
29.29%490M
29.29%490M
----
30.69%379M
30.69%379M
----
11.97%290M
11.97%290M
----
Total assets
1.05%12.21B
-42.54%11.9B
-42.54%11.9B
-41.64%12.08B
3.73%20.71B
3.73%20.71B
-1.01%20.71B
-1.63%19.96B
-1.63%19.96B
1.18%20.92B
Liabilities
Payables
-62.50%3M
-48.45%83M
-48.45%83M
-20.00%8M
11.81%161M
11.81%161M
0.00%10M
-72.98%144M
-72.98%144M
-23.08%10M
-Accounts payable
----
-34.71%79M
-34.71%79M
----
-4.72%121M
-4.72%121M
----
5.83%127M
5.83%127M
----
-Total tax payable
-62.50%3M
-90.00%4M
-90.00%4M
-20.00%8M
135.29%40M
135.29%40M
0.00%10M
21.43%17M
21.43%17M
-23.08%10M
-Reinsurance balances payable
----
-5.92%763M
-5.92%763M
----
-3.80%811M
-3.80%811M
----
3.95%843M
3.95%843M
----
Short term debt and capital lease obligation
----
-27.27%8M
-27.27%8M
----
-52.17%11M
-52.17%11M
----
91.67%23M
91.67%23M
----
-Current debt
----
-27.27%8M
-27.27%8M
----
-52.17%11M
-52.17%11M
----
91.67%23M
91.67%23M
----
Long term provisions
-50.00%36M
-70.93%50M
-70.93%50M
-46.67%72M
17.01%172M
17.01%172M
-17.68%135M
-13.02%147M
-13.02%147M
-35.43%164M
Long term debt and capital lease obligation
-56.01%183M
-76.96%220M
-76.96%220M
-51.91%416M
-5.26%955M
-5.26%955M
46.61%865M
128.57%1.01B
128.57%1.01B
-11.01%590M
-Long term debt
-56.01%183M
-78.03%165M
-78.03%165M
-51.91%416M
0.13%751M
0.13%751M
46.61%865M
70.07%750M
70.07%750M
-11.01%590M
-Long term capital lease obligation
----
-73.04%55M
-73.04%55M
----
-20.93%204M
-20.93%204M
----
--258M
--258M
----
Non current accrued expenses
----
-27.81%283M
-27.81%283M
----
3.70%392M
3.70%392M
----
11.50%378M
11.50%378M
----
Derivative product liabilities
----
-60.00%58M
-60.00%58M
----
52.63%145M
52.63%145M
----
-13.64%95M
-13.64%95M
----
Other liabilities
-22.14%531M
-84.55%57M
-84.55%57M
-41.51%682M
0.82%369M
0.82%369M
-6.57%1.17B
242.06%366M
242.06%366M
32.48%1.25B
Total liabilities
-0.50%9.24B
-44.87%8.81B
-44.87%8.81B
-42.15%9.29B
2.28%15.98B
2.28%15.98B
-3.18%16.05B
-2.63%15.62B
-2.63%15.62B
1.16%16.58B
Shareholders'equity
Share capital
21.09%1.69B
20.17%1.39B
20.17%1.39B
20.17%1.39B
0.26%1.16B
0.26%1.16B
0.35%1.16B
0.43%1.16B
0.43%1.16B
0.35%1.16B
-common stock
23.17%1.56B
22.61%1.27B
22.61%1.27B
22.61%1.27B
0.29%1.04B
0.29%1.04B
0.39%1.04B
0.49%1.03B
0.49%1.03B
0.39%1.03B
-Preferred stock
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
0.00%125M
Paid-in capital
3,928.57%282M
-81.00%282M
-81.00%282M
-99.53%7M
0.34%1.48B
0.34%1.48B
0.14%1.48B
0.20%1.48B
0.20%1.48B
0.20%1.48B
Retained earnings
23.83%930M
-34.74%804M
-34.74%804M
-35.43%751M
22.83%1.23B
22.83%1.23B
32.01%1.16B
3.30%1B
3.30%1B
-6.48%881M
Less: Treasury stock
----
----
----
----
----
----
--0
----
----
--0
Other equity interest
----
0.00%297M
0.00%297M
0.00%297M
0.00%297M
0.00%297M
0.00%297M
0.00%297M
0.00%297M
0.00%297M
Total stockholders'equity
6.12%2.81B
-35.69%2.94B
-35.69%2.94B
-40.72%2.65B
9.47%4.56B
9.47%4.56B
7.05%4.46B
2.11%4.17B
2.11%4.17B
0.87%4.17B
Noncontrolling interests
7.14%165M
-6.02%156M
-6.02%156M
-20.62%154M
-4.05%166M
-4.05%166M
13.45%194M
2.98%173M
2.98%173M
11.04%171M
Total equity
6.18%2.97B
-34.65%3.09B
-34.65%3.09B
-39.88%2.8B
8.94%4.73B
8.94%4.73B
7.31%4.66B
2.14%4.34B
2.14%4.34B
1.24%4.34B
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q2)Jun 30, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q2)Jun 30, 2019
Assets
-Net loan 43.26%404M-16.32%359M-16.32%359M-23.37%282M26.92%429M26.92%429M24.75%368M35.74%338M35.74%338M9.26%295M
-Short term investments 9.13%5.19B-54.63%5.17B-54.63%5.17B-57.77%4.76B2.96%11.4B2.96%11.4B-0.28%11.26B-1.25%11.07B-1.25%11.07B0.39%11.3B
Cash and cash equivalents -73.43%296M-54.30%500M-54.30%500M20.04%1.11B24.32%1.09B24.32%1.09B13.45%928M10.97%880M10.97%880M5.14%818M
Restricted cash and cash equivalents ------------------------------29M--29M----
-Accounts receivable -0.26%1.92B-35.90%1.92B-35.90%1.92B-37.49%1.93B2.26%2.99B2.26%2.99B0.69%3.08B-1.48%2.92B-1.48%2.92B-1.67%3.06B
-Taxes receivable -33.33%2M-91.30%2M-91.30%2M-88.00%3M27.78%23M27.78%23M-68.35%25M-74.65%18M-74.65%18M88.10%79M
-Other receivables 19.34%827M-41.76%159M-41.76%159M-28.41%693M-1.09%273M-1.09%273M41.73%968M-7.38%276M-7.38%276M-0.29%683M
Prepaid assets -4.06%779M-12.20%684M-12.20%684M--812M-2.63%779M-2.63%779M----1,150.00%800M1,150.00%800M----
Net PPE -19.83%93M-61.60%91M-61.60%91M-60.41%116M-19.93%237M-19.93%237M-10.94%293M228.89%296M228.89%296M210.38%329M
Goodwill and other intangible assets 9.86%323M-64.06%312M-64.06%312M-66.17%294M3.70%868M3.70%868M5.33%869M5.42%837M5.42%837M5.77%825M
-Goodwill 2.50%41M-88.18%39M-88.18%39M-88.47%40M-2.08%330M-2.08%330M-1.42%347M-3.44%337M-3.44%337M-1.40%352M
-Other intangible assets 11.02%282M-49.26%273M-49.26%273M-51.34%254M7.60%538M7.60%538M10.36%522M12.36%500M12.36%500M11.82%473M
Defined pension benefit ----29.29%490M29.29%490M----30.69%379M30.69%379M----11.97%290M11.97%290M----
Total assets 1.05%12.21B-42.54%11.9B-42.54%11.9B-41.64%12.08B3.73%20.71B3.73%20.71B-1.01%20.71B-1.63%19.96B-1.63%19.96B1.18%20.92B
Liabilities
Payables -62.50%3M-48.45%83M-48.45%83M-20.00%8M11.81%161M11.81%161M0.00%10M-72.98%144M-72.98%144M-23.08%10M
-Accounts payable -----34.71%79M-34.71%79M-----4.72%121M-4.72%121M----5.83%127M5.83%127M----
-Total tax payable -62.50%3M-90.00%4M-90.00%4M-20.00%8M135.29%40M135.29%40M0.00%10M21.43%17M21.43%17M-23.08%10M
-Reinsurance balances payable -----5.92%763M-5.92%763M-----3.80%811M-3.80%811M----3.95%843M3.95%843M----
Short term debt and capital lease obligation -----27.27%8M-27.27%8M-----52.17%11M-52.17%11M----91.67%23M91.67%23M----
-Current debt -----27.27%8M-27.27%8M-----52.17%11M-52.17%11M----91.67%23M91.67%23M----
Long term provisions -50.00%36M-70.93%50M-70.93%50M-46.67%72M17.01%172M17.01%172M-17.68%135M-13.02%147M-13.02%147M-35.43%164M
Long term debt and capital lease obligation -56.01%183M-76.96%220M-76.96%220M-51.91%416M-5.26%955M-5.26%955M46.61%865M128.57%1.01B128.57%1.01B-11.01%590M
-Long term debt -56.01%183M-78.03%165M-78.03%165M-51.91%416M0.13%751M0.13%751M46.61%865M70.07%750M70.07%750M-11.01%590M
-Long term capital lease obligation -----73.04%55M-73.04%55M-----20.93%204M-20.93%204M------258M--258M----
Non current accrued expenses -----27.81%283M-27.81%283M----3.70%392M3.70%392M----11.50%378M11.50%378M----
Derivative product liabilities -----60.00%58M-60.00%58M----52.63%145M52.63%145M-----13.64%95M-13.64%95M----
Other liabilities -22.14%531M-84.55%57M-84.55%57M-41.51%682M0.82%369M0.82%369M-6.57%1.17B242.06%366M242.06%366M32.48%1.25B
Total liabilities -0.50%9.24B-44.87%8.81B-44.87%8.81B-42.15%9.29B2.28%15.98B2.28%15.98B-3.18%16.05B-2.63%15.62B-2.63%15.62B1.16%16.58B
Shareholders'equity
Share capital 21.09%1.69B20.17%1.39B20.17%1.39B20.17%1.39B0.26%1.16B0.26%1.16B0.35%1.16B0.43%1.16B0.43%1.16B0.35%1.16B
-common stock 23.17%1.56B22.61%1.27B22.61%1.27B22.61%1.27B0.29%1.04B0.29%1.04B0.39%1.04B0.49%1.03B0.49%1.03B0.39%1.03B
-Preferred stock 0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M0.00%125M
Paid-in capital 3,928.57%282M-81.00%282M-81.00%282M-99.53%7M0.34%1.48B0.34%1.48B0.14%1.48B0.20%1.48B0.20%1.48B0.20%1.48B
Retained earnings 23.83%930M-34.74%804M-34.74%804M-35.43%751M22.83%1.23B22.83%1.23B32.01%1.16B3.30%1B3.30%1B-6.48%881M
Less: Treasury stock --------------------------0----------0
Other equity interest ----0.00%297M0.00%297M0.00%297M0.00%297M0.00%297M0.00%297M0.00%297M0.00%297M0.00%297M
Total stockholders'equity 6.12%2.81B-35.69%2.94B-35.69%2.94B-40.72%2.65B9.47%4.56B9.47%4.56B7.05%4.46B2.11%4.17B2.11%4.17B0.87%4.17B
Noncontrolling interests 7.14%165M-6.02%156M-6.02%156M-20.62%154M-4.05%166M-4.05%166M13.45%194M2.98%173M2.98%173M11.04%171M
Total equity 6.18%2.97B-34.65%3.09B-34.65%3.09B-39.88%2.8B8.94%4.73B8.94%4.73B7.31%4.66B2.14%4.34B2.14%4.34B1.24%4.34B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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