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SIGI Selective Insurance

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  • 93.340
  • -0.260-0.28%
Close Dec 20 16:00 ET
  • 93.340
  • 0.0000.00%
Post 20:01 ET
5.67BMarket Cap25.09P/E (TTM)

Selective Insurance Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Total investments
17.56%9.64B
10.93%9.02B
8.92%8.75B
10.93%8.69B
10.93%8.69B
8.76%8.2B
7.22%8.13B
3.28%8.03B
-2.36%7.84B
-2.36%7.84B
-Fixed maturity investments
-8.16%21.14M
-21.12%18.68M
-17.67%20.3M
-27.14%22.7M
-27.14%22.7M
-30.27%23.02M
-26.23%23.68M
-25.38%24.65M
8.24%31.16M
8.24%31.16M
-Equity investments
14.07%7.67B
5,879.65%7.27B
5,344.04%7.2B
4,329.15%7.18B
4,329.15%7.18B
3,557.23%6.72B
-52.95%121.64M
-61.64%132.18M
-51.72%162M
-51.72%162M
-Net loan
20.24%223.57M
25.15%219.46M
32.35%208.03M
26.29%188.42M
26.29%188.42M
28.05%185.93M
27.80%175.36M
35.63%157.18M
55.74%149.19M
55.74%149.19M
-Short term investments
59.44%1.19B
-86.32%1.01B
-88.58%830.05M
-88.37%820.44M
-88.37%820.44M
-88.97%743.5M
9.26%7.35B
6.01%7.27B
-1.47%7.05B
-1.47%7.05B
-Other invested assets
2.99%534.5M
9.51%504.52M
9.70%491.65M
10.03%486.94M
10.03%486.94M
19.96%518.99M
7.26%460.72M
5.29%448.17M
8.20%442.56M
8.20%442.56M
Cash and cash equivalents
-10.09%98K
-54.80%160K
-16.78%124K
592.31%180K
592.31%180K
-79.74%109K
-11.72%354K
-63.66%149K
-94.29%26K
-94.29%26K
Restricted cash and cash equivalents
-5.06%12.57M
-48.58%10.75M
-67.00%11.72M
-48.01%13.09M
-48.01%13.09M
55.81%13.24M
191.75%20.9M
103.25%35.52M
-43.55%25.18M
-43.55%25.18M
Receivables
29.12%2.6B
15.61%2.3B
11.28%2.09B
5.23%1.97B
5.23%1.97B
5.78%2.02B
13.51%1.99B
14.73%1.88B
17.42%1.87B
17.42%1.87B
-Accounts receivable
28.47%2.59B
17.17%2.27B
14.79%2.09B
5.43%1.97B
5.43%1.97B
10.34%2.02B
14.42%1.93B
14.62%1.82B
20.92%1.87B
20.92%1.87B
-Accrued interest receivable
----
----
----
----
----
----
18.01%59.44M
18.41%57.34M
----
----
-Taxes receivable
--13.04M
--38.59M
----
--0
--0
--0
--0
--0
359.20%3.55M
359.20%3.55M
Accrued investment income
18.77%73.84M
--72.31M
--68.03M
12.12%66.34M
12.12%66.34M
--62.17M
----
----
--59.17M
--59.17M
Prepaid assets
12.44%230.71M
15.42%219.79M
19.14%207.98M
17.95%203.32M
17.95%203.32M
14.82%205.19M
9.08%190.43M
-0.22%174.57M
-5.81%172.37M
-5.81%172.37M
Deferred policy acquisition costs
14.74%488.52M
15.15%476.52M
15.57%448.34M
15.26%424.86M
15.26%424.86M
14.78%425.75M
15.15%413.81M
13.54%387.94M
12.76%368.62M
12.76%368.62M
Net PPE
13.30%92.2M
9.77%89.2M
-0.80%82.7M
-1.23%83.27M
-1.23%83.27M
-4.64%81.37M
-2.53%81.26M
0.22%83.37M
2.75%84.31M
2.75%84.31M
Goodwill and other intangible assets
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
-Goodwill
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
0.00%7.85M
Other assets
3.37%229.13M
6.14%217.37M
-4.27%248.47M
-1.35%199.76M
-1.35%199.76M
-15.65%221.66M
-12.48%204.8M
19.23%259.55M
3.71%202.49M
3.71%202.49M
Total assets
17.90%13.47B
12.02%12.57B
9.45%12.06B
9.26%11.8B
9.26%11.8B
8.63%11.43B
8.72%11.22B
6.83%11.02B
3.26%10.8B
3.26%10.8B
Liabilities
Policy holders liabilities reserve
13.36%2.66B
15.44%2.6B
16.66%2.44B
16.95%2.33B
16.95%2.33B
15.82%2.34B
14.35%2.25B
11.73%2.09B
-68.79%1.99B
-68.79%1.99B
Payables
----
----
30.72%26.53M
--6.25M
--6.25M
--2.54M
--2.56M
23.20%20.3M
----
----
-Total tax payable
--0
--0
30.72%26.53M
--6.25M
--6.25M
--2.54M
--2.56M
23.20%20.3M
--0
--0
Current accrued expenses
-0.67%113.48M
0.64%92.59M
10.29%97.92M
5.92%122M
5.92%122M
1.79%114.24M
-10.27%91.99M
-1.99%88.78M
-4.85%115.19M
-4.85%115.19M
Long term debt and capital lease obligation
0.72%508.24M
1.03%508.8M
-0.17%503.31M
-0.14%503.95M
-0.14%503.95M
-0.11%504.59M
-0.29%503.62M
-0.28%504.15M
-0.27%504.68M
-0.27%504.68M
-Long term debt
0.07%501.57M
0.07%501.48M
0.07%501.4M
0.07%501.31M
0.07%501.31M
0.07%501.22M
0.07%501.14M
0.07%501.05M
0.07%500.96M
0.07%500.96M
-Long term capital lease obligation
97.92%6.67M
194.25%7.32M
-38.48%1.91M
-29.10%2.64M
-29.10%2.64M
-21.30%3.37M
-42.01%2.49M
-36.35%3.1M
-31.78%3.72M
-31.78%3.72M
Other liabilities
20.77%7.03B
13.10%6.44B
6.04%5.98B
3.94%5.89B
3.94%5.89B
6.72%5.82B
10.67%5.7B
11.75%5.64B
1,147.49%5.66B
1,147.49%5.66B
Total liabilities
17.33%10.31B
12.84%9.64B
8.44%9.05B
6.93%8.85B
6.93%8.85B
8.53%8.78B
10.65%8.55B
10.80%8.35B
10.65%8.27B
10.65%8.27B
Shareholders'equity
Share capital
0.19%411.11M
0.18%411.03M
0.18%410.9M
0.18%410.45M
0.18%410.45M
0.19%410.34M
0.19%410.3M
0.20%410.15M
0.19%409.69M
0.19%409.69M
-common stock
0.36%211.11M
0.35%211.03M
0.35%210.9M
0.36%210.45M
0.36%210.45M
0.38%210.34M
0.38%210.3M
0.39%210.15M
0.38%209.69M
0.38%209.69M
-Preferred stock
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
0.00%200M
Paid-in capital
6.36%549.75M
6.49%545.26M
6.29%534.33M
5.93%522.75M
5.93%522.75M
6.30%516.85M
6.37%512.04M
6.33%502.71M
6.28%493.49M
6.28%493.49M
Retained earnings
4.83%3.07B
4.95%3B
9.45%3.09B
10.17%3.03B
10.17%3.03B
9.11%2.93B
7.48%2.86B
6.86%2.82B
5.62%2.75B
5.62%2.75B
Gains losses not affecting retained earnings
63.21%-211.88M
17.45%-392.72M
10.54%-384.97M
25.11%-373M
25.11%-373M
-9.69%-575.87M
-41.43%-475.72M
-231.56%-430.35M
-532.71%-498.04M
-532.71%-498.04M
Less: Treasury stock
2.47%650.75M
1.13%641.94M
1.13%641.91M
1.26%635.21M
1.26%635.21M
1.29%635.08M
2.22%634.79M
3.29%634.72M
3.01%627.28M
3.01%627.28M
Total stockholders'equity
19.79%3.17B
9.41%2.92B
12.63%3.01B
16.89%2.95B
16.89%2.95B
8.93%2.64B
2.98%2.67B
-3.92%2.67B
-15.26%2.53B
-15.26%2.53B
Total equity
19.79%3.17B
9.41%2.92B
12.63%3.01B
16.89%2.95B
16.89%2.95B
8.93%2.64B
2.98%2.67B
-3.92%2.67B
-15.26%2.53B
-15.26%2.53B
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
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Total investments 17.56%9.64B10.93%9.02B8.92%8.75B10.93%8.69B10.93%8.69B8.76%8.2B7.22%8.13B3.28%8.03B-2.36%7.84B-2.36%7.84B
-Fixed maturity investments -8.16%21.14M-21.12%18.68M-17.67%20.3M-27.14%22.7M-27.14%22.7M-30.27%23.02M-26.23%23.68M-25.38%24.65M8.24%31.16M8.24%31.16M
-Equity investments 14.07%7.67B5,879.65%7.27B5,344.04%7.2B4,329.15%7.18B4,329.15%7.18B3,557.23%6.72B-52.95%121.64M-61.64%132.18M-51.72%162M-51.72%162M
-Net loan 20.24%223.57M25.15%219.46M32.35%208.03M26.29%188.42M26.29%188.42M28.05%185.93M27.80%175.36M35.63%157.18M55.74%149.19M55.74%149.19M
-Short term investments 59.44%1.19B-86.32%1.01B-88.58%830.05M-88.37%820.44M-88.37%820.44M-88.97%743.5M9.26%7.35B6.01%7.27B-1.47%7.05B-1.47%7.05B
-Other invested assets 2.99%534.5M9.51%504.52M9.70%491.65M10.03%486.94M10.03%486.94M19.96%518.99M7.26%460.72M5.29%448.17M8.20%442.56M8.20%442.56M
Cash and cash equivalents -10.09%98K-54.80%160K-16.78%124K592.31%180K592.31%180K-79.74%109K-11.72%354K-63.66%149K-94.29%26K-94.29%26K
Restricted cash and cash equivalents -5.06%12.57M-48.58%10.75M-67.00%11.72M-48.01%13.09M-48.01%13.09M55.81%13.24M191.75%20.9M103.25%35.52M-43.55%25.18M-43.55%25.18M
Receivables 29.12%2.6B15.61%2.3B11.28%2.09B5.23%1.97B5.23%1.97B5.78%2.02B13.51%1.99B14.73%1.88B17.42%1.87B17.42%1.87B
-Accounts receivable 28.47%2.59B17.17%2.27B14.79%2.09B5.43%1.97B5.43%1.97B10.34%2.02B14.42%1.93B14.62%1.82B20.92%1.87B20.92%1.87B
-Accrued interest receivable ------------------------18.01%59.44M18.41%57.34M--------
-Taxes receivable --13.04M--38.59M------0--0--0--0--0359.20%3.55M359.20%3.55M
Accrued investment income 18.77%73.84M--72.31M--68.03M12.12%66.34M12.12%66.34M--62.17M----------59.17M--59.17M
Prepaid assets 12.44%230.71M15.42%219.79M19.14%207.98M17.95%203.32M17.95%203.32M14.82%205.19M9.08%190.43M-0.22%174.57M-5.81%172.37M-5.81%172.37M
Deferred policy acquisition costs 14.74%488.52M15.15%476.52M15.57%448.34M15.26%424.86M15.26%424.86M14.78%425.75M15.15%413.81M13.54%387.94M12.76%368.62M12.76%368.62M
Net PPE 13.30%92.2M9.77%89.2M-0.80%82.7M-1.23%83.27M-1.23%83.27M-4.64%81.37M-2.53%81.26M0.22%83.37M2.75%84.31M2.75%84.31M
Goodwill and other intangible assets 0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M
-Goodwill 0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M0.00%7.85M
Other assets 3.37%229.13M6.14%217.37M-4.27%248.47M-1.35%199.76M-1.35%199.76M-15.65%221.66M-12.48%204.8M19.23%259.55M3.71%202.49M3.71%202.49M
Total assets 17.90%13.47B12.02%12.57B9.45%12.06B9.26%11.8B9.26%11.8B8.63%11.43B8.72%11.22B6.83%11.02B3.26%10.8B3.26%10.8B
Liabilities
Policy holders liabilities reserve 13.36%2.66B15.44%2.6B16.66%2.44B16.95%2.33B16.95%2.33B15.82%2.34B14.35%2.25B11.73%2.09B-68.79%1.99B-68.79%1.99B
Payables --------30.72%26.53M--6.25M--6.25M--2.54M--2.56M23.20%20.3M--------
-Total tax payable --0--030.72%26.53M--6.25M--6.25M--2.54M--2.56M23.20%20.3M--0--0
Current accrued expenses -0.67%113.48M0.64%92.59M10.29%97.92M5.92%122M5.92%122M1.79%114.24M-10.27%91.99M-1.99%88.78M-4.85%115.19M-4.85%115.19M
Long term debt and capital lease obligation 0.72%508.24M1.03%508.8M-0.17%503.31M-0.14%503.95M-0.14%503.95M-0.11%504.59M-0.29%503.62M-0.28%504.15M-0.27%504.68M-0.27%504.68M
-Long term debt 0.07%501.57M0.07%501.48M0.07%501.4M0.07%501.31M0.07%501.31M0.07%501.22M0.07%501.14M0.07%501.05M0.07%500.96M0.07%500.96M
-Long term capital lease obligation 97.92%6.67M194.25%7.32M-38.48%1.91M-29.10%2.64M-29.10%2.64M-21.30%3.37M-42.01%2.49M-36.35%3.1M-31.78%3.72M-31.78%3.72M
Other liabilities 20.77%7.03B13.10%6.44B6.04%5.98B3.94%5.89B3.94%5.89B6.72%5.82B10.67%5.7B11.75%5.64B1,147.49%5.66B1,147.49%5.66B
Total liabilities 17.33%10.31B12.84%9.64B8.44%9.05B6.93%8.85B6.93%8.85B8.53%8.78B10.65%8.55B10.80%8.35B10.65%8.27B10.65%8.27B
Shareholders'equity
Share capital 0.19%411.11M0.18%411.03M0.18%410.9M0.18%410.45M0.18%410.45M0.19%410.34M0.19%410.3M0.20%410.15M0.19%409.69M0.19%409.69M
-common stock 0.36%211.11M0.35%211.03M0.35%210.9M0.36%210.45M0.36%210.45M0.38%210.34M0.38%210.3M0.39%210.15M0.38%209.69M0.38%209.69M
-Preferred stock 0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M0.00%200M
Paid-in capital 6.36%549.75M6.49%545.26M6.29%534.33M5.93%522.75M5.93%522.75M6.30%516.85M6.37%512.04M6.33%502.71M6.28%493.49M6.28%493.49M
Retained earnings 4.83%3.07B4.95%3B9.45%3.09B10.17%3.03B10.17%3.03B9.11%2.93B7.48%2.86B6.86%2.82B5.62%2.75B5.62%2.75B
Gains losses not affecting retained earnings 63.21%-211.88M17.45%-392.72M10.54%-384.97M25.11%-373M25.11%-373M-9.69%-575.87M-41.43%-475.72M-231.56%-430.35M-532.71%-498.04M-532.71%-498.04M
Less: Treasury stock 2.47%650.75M1.13%641.94M1.13%641.91M1.26%635.21M1.26%635.21M1.29%635.08M2.22%634.79M3.29%634.72M3.01%627.28M3.01%627.28M
Total stockholders'equity 19.79%3.17B9.41%2.92B12.63%3.01B16.89%2.95B16.89%2.95B8.93%2.64B2.98%2.67B-3.92%2.67B-15.26%2.53B-15.26%2.53B
Total equity 19.79%3.17B9.41%2.92B12.63%3.01B16.89%2.95B16.89%2.95B8.93%2.64B2.98%2.67B-3.92%2.67B-15.26%2.53B-15.26%2.53B
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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