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SFC Sagicor Financial Co Ltd

Watchlist
  • 5.960
  • -0.250-4.03%
15min DelayMarket Closed Nov 4 16:00 ET
840.76MMarket Cap1.35P/E (TTM)

Sagicor Financial Co Ltd 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
83.36%17.17B
87.13%17.14B
90.73%17.18B
90.73%17.18B
7.58%9.44B
6.97%9.36B
4.91%9.16B
4.59%9.01B
4.59%9.01B
6.39%8.78B
-Fixed maturity investments
----
----
----
----
----
----
----
----
----
7.86%1.47B
-Equity investments
77.84%16.4B
82.15%16.43B
91.97%17.03B
91.97%17.03B
720.45%9.3B
7.01%9.22B
4.93%9.02B
4.57%8.87B
4.57%8.87B
-17.50%1.13B
-Net loan
----
----
----
----
----
----
----
----
----
14.80%1.3B
-Security agree to be resell
----
----
----
----
----
----
----
----
----
-33.64%36.9M
Long term equity investment
7.52%68.45M
12.02%68.94M
11.29%67.82M
11.29%67.82M
7.18%64.61M
9.50%63.66M
7.48%61.54M
10.27%60.94M
10.27%60.94M
7.46%60.28M
-Investments in other ventures under equity method
7.52%68.45M
12.02%68.94M
11.29%67.82M
11.29%67.82M
7.18%64.61M
9.50%63.66M
7.48%61.54M
10.27%60.94M
10.27%60.94M
7.46%60.28M
-Short term investments
--614.07M
--556.85M
----
----
----
----
----
----
----
12.08%4.7B
-Other invested assets
9.07%83.65M
8.21%83.74M
10.36%85.38M
10.36%85.38M
-0.34%76.72M
0.61%76.7M
1.60%77.39M
1.85%77.36M
1.85%77.36M
1.37%76.98M
Cash and cash equivalents
-19.06%390.5M
16.87%449.53M
32.19%486.64M
32.19%486.64M
15.24%388.28M
17.75%482.43M
-4.54%384.63M
2.27%368.14M
2.27%368.14M
-4.15%336.95M
Restricted cash and cash equivalents
6.49%99.98M
13.78%96.72M
19.34%95.56M
19.34%95.56M
18.65%95.45M
7.38%93.89M
4.66%85M
2.48%80.07M
2.48%80.07M
-1.82%80.45M
Reinsurance recoverable
583.74%2.97B
544.30%3.06B
521.97%3.21B
521.97%3.21B
-26.09%416.65M
-28.00%434.68M
-22.64%475.65M
-17.19%516.57M
-17.19%516.57M
-12.82%563.73M
Receivables
172.37%332.6M
144.55%325.57M
142.74%332.67M
142.74%332.67M
69.87%128.58M
74.66%122.11M
136.07%133.13M
82.03%137.05M
82.03%137.05M
100.16%75.69M
-Taxes receivable
172.37%332.6M
144.55%325.57M
143.76%331.38M
143.76%331.38M
69.87%128.58M
74.66%122.11M
136.07%133.13M
80.56%135.94M
80.56%135.94M
100.16%75.69M
-Other receivables
----
----
16.95%1.3M
16.95%1.3M
----
----
----
--1.11M
--1.11M
----
Prepaid assets
----
----
15.33%38.43M
15.33%38.43M
----
----
----
--33.32M
--33.32M
----
Net PPE
8.76%193.18M
8.96%194.78M
9.33%195.54M
9.33%195.54M
-1.13%173.93M
-32.76%177.62M
-32.23%178.76M
-32.96%178.86M
-32.96%178.86M
-35.32%175.92M
Goodwill and other intangible assets
-9.36%90.92M
-10.29%92.73M
-11.54%93.16M
-11.54%93.16M
-3.18%104.76M
-10.81%100.32M
18.38%103.36M
18.20%105.31M
18.20%105.31M
18.55%108.2M
-Goodwill
----
----
-39.95%45.03M
-39.95%45.03M
----
----
----
--74.97M
--74.97M
----
-Other intangible assets
----
----
58.65%48.14M
58.65%48.14M
----
----
----
--30.34M
--30.34M
----
Defined pension benefit
----
----
-0.98%20.69M
-0.98%20.69M
----
----
----
--20.9M
--20.9M
----
Separate account assets
--464.13M
--482.79M
--492.27M
--492.27M
----
----
----
--0
--0
----
Assets Of discontinued operations
----
----
-6.86%101.93M
-6.86%101.93M
----
----
----
--109.44M
--109.44M
----
Other assets
10.02%293.77M
50.52%380.67M
110.36%136.78M
110.36%136.78M
-32.78%281.26M
-8.91%267.03M
-7.91%252.91M
-68.68%65.02M
-68.68%65.02M
3.44%418.42M
Total assets
99.30%22B
106.33%22.23B
110.75%22.38B
110.75%22.38B
4.69%11.03B
4.23%11.04B
2.49%10.77B
3.00%10.62B
3.00%10.62B
3.96%10.54B
Liabilities
Total deposits
-51.21%1.07B
-45.06%1.2B
126.13%1.22B
126.13%1.22B
308.43%2.18B
312.34%2.18B
347.40%2.18B
-72.96%539.85M
-72.96%539.85M
10.25%533.65M
Policy holders liabilities reserve
153.81%16.74B
163.98%16.73B
132.34%16.8B
132.34%16.8B
3.91%6.62B
5.43%6.6B
3.46%6.34B
26.96%7.23B
26.96%7.23B
8.74%6.37B
Short term debt and capital lease obligation
--49.9M
--15.38M
25.92%29.83M
25.92%29.83M
----
----
----
--23.69M
--23.69M
1.51%9.63M
-Current debt
--49.9M
--15.38M
25.25%20.41M
25.25%20.41M
----
----
----
--16.3M
--16.3M
209.02%1.92M
-Current capital Lease obligation
----
----
27.39%9.42M
27.39%9.42M
----
----
----
--7.39M
--7.39M
-13.03%7.71M
Payables
32.20%339.77M
15.18%311.28M
48.14%324.16M
48.14%324.16M
-33.70%227.88M
-30.62%257.01M
-26.75%270.26M
-4.91%218.82M
-4.91%218.82M
1.22%343.7M
-Accounts payable
31.06%324.02M
14.17%292.85M
47.94%293.78M
47.94%293.78M
-22.08%219.04M
-17.62%247.23M
-16.60%256.5M
-4.27%198.58M
-4.27%198.58M
-2.14%281.12M
-Total tax payable
60.90%15.75M
33.95%18.43M
50.11%30.38M
50.11%30.38M
-85.87%8.84M
-86.08%9.79M
-77.59%13.76M
-10.80%20.24M
-10.80%20.24M
19.68%62.58M
Derivative product liabilities
--884K
--864K
3,262.50%538K
3,262.50%538K
----
----
----
--16K
--16K
--9K
Long term debt and capital lease obligation
36.65%920.93M
42.45%968.97M
48.47%955.98M
48.47%955.98M
3.48%686.85M
-4.40%673.95M
-3.91%680.2M
-10.10%643.88M
-10.10%643.88M
16.23%663.77M
-Long term debt
37.22%883.61M
43.56%930.53M
50.07%927.41M
50.07%927.41M
2.77%657.06M
-5.79%643.93M
-5.33%648.2M
-9.57%617.98M
-9.57%617.98M
17.44%639.37M
-Long term capital lease obligation
24.29%37.31M
20.10%38.44M
10.30%28.57M
10.30%28.57M
22.09%29.79M
39.80%30.02M
38.20%32.01M
-21.12%25.9M
-21.12%25.9M
-8.58%24.4M
Long term provisions
----
----
2,682.77%6.62M
2,682.77%6.62M
----
----
----
--238K
--238K
----
Unrepurchased pre-sale securities
--629M
--655.41M
0.88%660.52M
0.88%660.52M
----
----
----
--654.75M
--654.75M
0.02%643.41M
Employee benefits
----
----
12.83%73.85M
12.83%73.85M
----
----
----
--65.46M
--65.46M
----
Separate account liability
--464.13M
--482.79M
--492.27M
--492.27M
----
----
----
--0
--0
----
Other liabilities
-2.51%539.51M
-2.24%556.8M
-3.04%492.66M
-3.04%492.66M
1.62%552.14M
1.34%553.41M
1.88%569.53M
-13.21%508.09M
-13.21%508.09M
1.21%543.35M
Total liabilities
102.17%20.75B
108.45%20.92B
113.01%21.06B
113.01%21.06B
12.71%10.27B
13.58%10.26B
13.28%10.04B
7.18%9.88B
7.18%9.88B
7.88%9.11B
Shareholders'equity
Share capital
-1.19%1.41M
-1.19%1.41M
-1.19%1.41M
-1.19%1.41M
-0.63%1.42M
0.07%1.43M
-0.28%1.42M
-0.35%1.43M
-0.35%1.43M
-0.42%1.43M
-common stock
-1.19%1.41M
-1.19%1.41M
-1.19%1.41M
-1.19%1.41M
-0.63%1.42M
0.07%1.43M
-0.28%1.42M
-0.35%1.43M
-0.35%1.43M
-0.42%1.43M
Additional paid-in capital
-1.15%725.01M
-1.28%724.22M
-1.35%725.03M
-1.35%725.03M
-0.74%729.71M
-0.14%733.44M
-0.29%733.58M
-0.30%734.92M
-0.30%734.92M
-0.37%735.16M
Retained earnings
281.06%286.28M
267.93%335.23M
266.26%317.91M
266.26%317.91M
-131.45%-169.02M
-130.57%-158.11M
-140.71%-199.62M
-6,212.84%-191.22M
-6,212.84%-191.22M
21.06%537.4M
Gains losses not affecting retained earnings
-0.65%-114.99M
9.95%-96.42M
36.40%-73.42M
36.40%-73.42M
50.01%-119.59M
37.02%-114.25M
-5.15%-107.08M
-62.40%-115.44M
-62.40%-115.44M
-392.46%-239.25M
Other equity interest
----
----
----
----
----
----
----
----
----
-135.17%-389K
Total stockholders equity
94.10%897.72M
125.17%964.43M
125.96%970.93M
125.96%970.93M
-57.22%442.51M
-56.81%462.51M
-61.95%428.3M
-35.33%429.69M
-35.33%429.69M
-8.93%1.03B
Noncontrolling interests
13.36%356.78M
11.38%345.09M
16.74%358.09M
16.74%358.09M
-18.30%319.74M
-35.20%314.74M
-41.23%309.82M
-27.85%306.73M
-27.85%306.73M
-29.37%391.38M
Total equity
61.40%1.25B
77.41%1.31B
80.47%1.33B
80.47%1.33B
-46.54%762.25M
-50.07%777.25M
-55.34%738.13M
-32.41%736.42M
-32.41%736.42M
-15.63%1.43B
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
--
--
--
--
--
--
--
(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 83.36%17.17B87.13%17.14B90.73%17.18B90.73%17.18B7.58%9.44B6.97%9.36B4.91%9.16B4.59%9.01B4.59%9.01B6.39%8.78B
-Fixed maturity investments ------------------------------------7.86%1.47B
-Equity investments 77.84%16.4B82.15%16.43B91.97%17.03B91.97%17.03B720.45%9.3B7.01%9.22B4.93%9.02B4.57%8.87B4.57%8.87B-17.50%1.13B
-Net loan ------------------------------------14.80%1.3B
-Security agree to be resell -------------------------------------33.64%36.9M
Long term equity investment 7.52%68.45M12.02%68.94M11.29%67.82M11.29%67.82M7.18%64.61M9.50%63.66M7.48%61.54M10.27%60.94M10.27%60.94M7.46%60.28M
-Investments in other ventures under equity method 7.52%68.45M12.02%68.94M11.29%67.82M11.29%67.82M7.18%64.61M9.50%63.66M7.48%61.54M10.27%60.94M10.27%60.94M7.46%60.28M
-Short term investments --614.07M--556.85M----------------------------12.08%4.7B
-Other invested assets 9.07%83.65M8.21%83.74M10.36%85.38M10.36%85.38M-0.34%76.72M0.61%76.7M1.60%77.39M1.85%77.36M1.85%77.36M1.37%76.98M
Cash and cash equivalents -19.06%390.5M16.87%449.53M32.19%486.64M32.19%486.64M15.24%388.28M17.75%482.43M-4.54%384.63M2.27%368.14M2.27%368.14M-4.15%336.95M
Restricted cash and cash equivalents 6.49%99.98M13.78%96.72M19.34%95.56M19.34%95.56M18.65%95.45M7.38%93.89M4.66%85M2.48%80.07M2.48%80.07M-1.82%80.45M
Reinsurance recoverable 583.74%2.97B544.30%3.06B521.97%3.21B521.97%3.21B-26.09%416.65M-28.00%434.68M-22.64%475.65M-17.19%516.57M-17.19%516.57M-12.82%563.73M
Receivables 172.37%332.6M144.55%325.57M142.74%332.67M142.74%332.67M69.87%128.58M74.66%122.11M136.07%133.13M82.03%137.05M82.03%137.05M100.16%75.69M
-Taxes receivable 172.37%332.6M144.55%325.57M143.76%331.38M143.76%331.38M69.87%128.58M74.66%122.11M136.07%133.13M80.56%135.94M80.56%135.94M100.16%75.69M
-Other receivables --------16.95%1.3M16.95%1.3M--------------1.11M--1.11M----
Prepaid assets --------15.33%38.43M15.33%38.43M--------------33.32M--33.32M----
Net PPE 8.76%193.18M8.96%194.78M9.33%195.54M9.33%195.54M-1.13%173.93M-32.76%177.62M-32.23%178.76M-32.96%178.86M-32.96%178.86M-35.32%175.92M
Goodwill and other intangible assets -9.36%90.92M-10.29%92.73M-11.54%93.16M-11.54%93.16M-3.18%104.76M-10.81%100.32M18.38%103.36M18.20%105.31M18.20%105.31M18.55%108.2M
-Goodwill ---------39.95%45.03M-39.95%45.03M--------------74.97M--74.97M----
-Other intangible assets --------58.65%48.14M58.65%48.14M--------------30.34M--30.34M----
Defined pension benefit ---------0.98%20.69M-0.98%20.69M--------------20.9M--20.9M----
Separate account assets --464.13M--482.79M--492.27M--492.27M--------------0--0----
Assets Of discontinued operations ---------6.86%101.93M-6.86%101.93M--------------109.44M--109.44M----
Other assets 10.02%293.77M50.52%380.67M110.36%136.78M110.36%136.78M-32.78%281.26M-8.91%267.03M-7.91%252.91M-68.68%65.02M-68.68%65.02M3.44%418.42M
Total assets 99.30%22B106.33%22.23B110.75%22.38B110.75%22.38B4.69%11.03B4.23%11.04B2.49%10.77B3.00%10.62B3.00%10.62B3.96%10.54B
Liabilities
Total deposits -51.21%1.07B-45.06%1.2B126.13%1.22B126.13%1.22B308.43%2.18B312.34%2.18B347.40%2.18B-72.96%539.85M-72.96%539.85M10.25%533.65M
Policy holders liabilities reserve 153.81%16.74B163.98%16.73B132.34%16.8B132.34%16.8B3.91%6.62B5.43%6.6B3.46%6.34B26.96%7.23B26.96%7.23B8.74%6.37B
Short term debt and capital lease obligation --49.9M--15.38M25.92%29.83M25.92%29.83M--------------23.69M--23.69M1.51%9.63M
-Current debt --49.9M--15.38M25.25%20.41M25.25%20.41M--------------16.3M--16.3M209.02%1.92M
-Current capital Lease obligation --------27.39%9.42M27.39%9.42M--------------7.39M--7.39M-13.03%7.71M
Payables 32.20%339.77M15.18%311.28M48.14%324.16M48.14%324.16M-33.70%227.88M-30.62%257.01M-26.75%270.26M-4.91%218.82M-4.91%218.82M1.22%343.7M
-Accounts payable 31.06%324.02M14.17%292.85M47.94%293.78M47.94%293.78M-22.08%219.04M-17.62%247.23M-16.60%256.5M-4.27%198.58M-4.27%198.58M-2.14%281.12M
-Total tax payable 60.90%15.75M33.95%18.43M50.11%30.38M50.11%30.38M-85.87%8.84M-86.08%9.79M-77.59%13.76M-10.80%20.24M-10.80%20.24M19.68%62.58M
Derivative product liabilities --884K--864K3,262.50%538K3,262.50%538K--------------16K--16K--9K
Long term debt and capital lease obligation 36.65%920.93M42.45%968.97M48.47%955.98M48.47%955.98M3.48%686.85M-4.40%673.95M-3.91%680.2M-10.10%643.88M-10.10%643.88M16.23%663.77M
-Long term debt 37.22%883.61M43.56%930.53M50.07%927.41M50.07%927.41M2.77%657.06M-5.79%643.93M-5.33%648.2M-9.57%617.98M-9.57%617.98M17.44%639.37M
-Long term capital lease obligation 24.29%37.31M20.10%38.44M10.30%28.57M10.30%28.57M22.09%29.79M39.80%30.02M38.20%32.01M-21.12%25.9M-21.12%25.9M-8.58%24.4M
Long term provisions --------2,682.77%6.62M2,682.77%6.62M--------------238K--238K----
Unrepurchased pre-sale securities --629M--655.41M0.88%660.52M0.88%660.52M--------------654.75M--654.75M0.02%643.41M
Employee benefits --------12.83%73.85M12.83%73.85M--------------65.46M--65.46M----
Separate account liability --464.13M--482.79M--492.27M--492.27M--------------0--0----
Other liabilities -2.51%539.51M-2.24%556.8M-3.04%492.66M-3.04%492.66M1.62%552.14M1.34%553.41M1.88%569.53M-13.21%508.09M-13.21%508.09M1.21%543.35M
Total liabilities 102.17%20.75B108.45%20.92B113.01%21.06B113.01%21.06B12.71%10.27B13.58%10.26B13.28%10.04B7.18%9.88B7.18%9.88B7.88%9.11B
Shareholders'equity
Share capital -1.19%1.41M-1.19%1.41M-1.19%1.41M-1.19%1.41M-0.63%1.42M0.07%1.43M-0.28%1.42M-0.35%1.43M-0.35%1.43M-0.42%1.43M
-common stock -1.19%1.41M-1.19%1.41M-1.19%1.41M-1.19%1.41M-0.63%1.42M0.07%1.43M-0.28%1.42M-0.35%1.43M-0.35%1.43M-0.42%1.43M
Additional paid-in capital -1.15%725.01M-1.28%724.22M-1.35%725.03M-1.35%725.03M-0.74%729.71M-0.14%733.44M-0.29%733.58M-0.30%734.92M-0.30%734.92M-0.37%735.16M
Retained earnings 281.06%286.28M267.93%335.23M266.26%317.91M266.26%317.91M-131.45%-169.02M-130.57%-158.11M-140.71%-199.62M-6,212.84%-191.22M-6,212.84%-191.22M21.06%537.4M
Gains losses not affecting retained earnings -0.65%-114.99M9.95%-96.42M36.40%-73.42M36.40%-73.42M50.01%-119.59M37.02%-114.25M-5.15%-107.08M-62.40%-115.44M-62.40%-115.44M-392.46%-239.25M
Other equity interest -------------------------------------135.17%-389K
Total stockholders equity 94.10%897.72M125.17%964.43M125.96%970.93M125.96%970.93M-57.22%442.51M-56.81%462.51M-61.95%428.3M-35.33%429.69M-35.33%429.69M-8.93%1.03B
Noncontrolling interests 13.36%356.78M11.38%345.09M16.74%358.09M16.74%358.09M-18.30%319.74M-35.20%314.74M-41.23%309.82M-27.85%306.73M-27.85%306.73M-29.37%391.38M
Total equity 61.40%1.25B77.41%1.31B80.47%1.33B80.47%1.33B-46.54%762.25M-50.07%777.25M-55.34%738.13M-32.41%736.42M-32.41%736.42M-15.63%1.43B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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