US Stock MarketDetailed Quotes

SNFCA Security National Financial

Watchlist
  • 13.350
  • +0.050+0.38%
Close Dec 3 16:00 ET
324.08MMarket Cap11.13P/E (TTM)

Security National Financial 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
5.43%924.29M
2.94%918.01M
0.09%922.07M
-0.33%931.7M
-0.33%931.7M
-4.74%876.65M
7.83%891.82M
8.85%921.23M
13.81%934.78M
13.81%934.78M
-Equity investments
-3.06%324.29M
-4.85%303.25M
2,190.09%282.92M
2,970.86%358.75M
2,970.86%358.75M
3,125.70%334.54M
2,746.04%318.71M
7.32%12.35M
0.74%11.68M
0.74%11.68M
-Net loan
12.33%297.85M
4.68%300.17M
-6.34%284.21M
-10.09%291.16M
-10.09%291.16M
-21.13%265.16M
-1.26%286.75M
2.60%303.46M
10.39%323.82M
10.39%323.82M
-Short term investments
12.83%38.61M
25.06%61.13M
-69.77%108.08M
-89.47%36.42M
-89.47%36.42M
-89.33%34.22M
-81.94%48.88M
31.36%357.57M
33.39%345.86M
33.39%345.86M
-Other invested assets
8.57%263.54M
6.73%253.47M
-0.40%246.87M
-3.18%245.36M
-3.18%245.36M
-4.01%242.73M
-6.79%237.49M
-7.12%247.85M
-1.44%253.42M
-1.44%253.42M
Cash and cash equivalents
26.68%170.71M
30.24%143.63M
51.61%150.93M
4.98%126.94M
4.98%126.94M
58.63%134.75M
-16.00%110.29M
-31.64%99.55M
-7.94%120.92M
-7.94%120.92M
Restricted cash and cash equivalents
40.44%27.96M
16.29%22.6M
9.67%20.88M
5.78%20.03M
5.78%20.03M
21.65%19.91M
10.85%19.43M
14.09%19.04M
11.79%18.94M
11.79%18.94M
Receivables
1.61%30.75M
7.13%28.41M
1.04%31.6M
-30.76%30.19M
-30.76%30.19M
-4.61%30.26M
-23.66%26.51M
6.84%31.28M
31.48%43.61M
31.48%43.61M
-Accounts receivable
1.61%30.75M
7.13%28.41M
41.71%31.6M
7.93%24.43M
7.93%24.43M
-4.61%30.26M
-23.66%26.51M
-23.82%22.3M
0.56%22.64M
0.56%22.64M
-Other receivables
----
----
----
-66.99%7.66M
-66.99%7.66M
----
----
--10.84M
86.24%23.2M
86.24%23.2M
-Recievables adjustments allowances
----
----
----
14.88%-1.9M
14.88%-1.9M
----
----
---1.87M
-23.83%-2.23M
-23.83%-2.23M
Accrued investment income
-35.92%7.86M
-13.26%8.84M
-4.94%8.96M
-1.25%10.17M
-1.25%10.17M
13.12%12.27M
23.64%10.19M
67.37%9.43M
63.15%10.3M
63.15%10.3M
Deferred policy acquisition costs
4.97%129.47M
4.94%127.12M
6.25%126.57M
5.37%124.82M
5.37%124.82M
4.65%123.34M
2.94%121.13M
4.06%119.13M
4.40%118.46M
4.40%118.46M
Net PPE
-3.90%27.53M
-4.74%27.59M
-3.34%28.36M
-4.52%28.34M
-4.52%28.34M
-3.42%28.65M
-3.38%28.97M
-2.71%29.34M
-2.67%29.68M
-2.67%29.68M
Goodwill and other intangible assets
-5.06%8.31M
-3.11%8.43M
1.81%8.57M
1.45%11.72M
1.45%11.72M
-85.33%8.75M
-85.87%8.7M
-86.16%8.42M
-81.32%11.55M
-81.32%11.55M
-Goodwill
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
0.00%5.25M
-Other intangible assets
-12.67%3.05M
-7.85%3.17M
4.80%3.32M
2.66%6.46M
2.66%6.46M
-93.57%3.49M
-93.88%3.44M
-94.30%3.17M
-88.87%6.3M
-88.87%6.3M
Assets of discontinued operations
-8.53%143.9M
-7.31%151.21M
-30.27%125.8M
-14.94%129.58M
-14.94%129.58M
-2.97%157.31M
-23.27%163.14M
-23.87%180.41M
-50.30%152.34M
-50.30%152.34M
Other assets
9.93%24.05M
6.23%24.89M
-9.96%22.74M
-16.90%17.07M
-16.90%17.07M
-17.84%21.88M
-25.63%23.43M
-25.27%25.26M
-21.51%20.54M
-21.51%20.54M
Total assets
5.73%1.49B
4.07%1.46B
0.24%1.45B
-2.09%1.43B
-2.09%1.43B
-3.17%1.41B
-4.66%1.4B
-5.05%1.44B
-5.59%1.46B
-5.59%1.46B
Liabilities
Policy holders liabilities reserve
3.11%939.87M
3.21%933.49M
3.10%925.78M
2.97%918.58M
2.97%918.58M
3.02%911.53M
2.93%904.45M
2.86%897.91M
2.97%892.1M
2.97%892.1M
Payables
17.69%19.59M
-3.99%17.91M
-45.81%19.22M
-53.73%16.69M
-53.73%16.69M
-40.61%16.65M
-43.34%18.66M
-6.31%35.46M
-12.45%36.07M
-12.45%36.07M
-Accounts payable
9.00%3.25M
2.48%3.3M
7.74%3.56M
-45.22%2.94M
-45.22%2.94M
-38.75%2.98M
-45.64%3.22M
-62.65%3.3M
-47.26%5.36M
-47.26%5.36M
-Total tax payable
19.58%16.35M
-5.34%14.62M
-51.31%15.66M
-55.22%13.75M
-55.22%13.75M
-41.00%13.67M
-42.84%15.44M
10.88%32.16M
-1.05%30.71M
-1.05%30.71M
Short term debt and capital lease obligation
----
----
----
-87.70%7.73M
-87.70%7.73M
----
----
----
-61.02%62.88M
-61.02%62.88M
-Current debt
----
----
----
-87.70%7.73M
-87.70%7.73M
----
----
----
-61.02%62.88M
-61.02%62.88M
Long term debt and capital lease obligation
-1.33%106.99M
0.23%103.54M
-24.61%104.34M
-1.02%97.82M
-1.02%97.82M
-46.18%108.43M
-48.44%103.3M
-40.76%138.39M
9.84%98.83M
9.84%98.83M
-Long term debt
-1.33%106.99M
0.23%103.54M
-24.61%104.34M
-1.01%97.81M
-1.01%97.81M
-46.18%108.43M
-48.44%103.3M
-40.76%138.39M
9.88%98.8M
9.88%98.8M
-Long term capital lease obligation
----
----
----
-49.97%15.55K
-49.97%15.55K
----
----
----
-50.48%31.08K
-50.48%31.08K
Non current deferred liabilities
10.92%19.49M
10.27%18.92M
11.57%18.5M
12.39%18.24M
12.39%18.24M
10.71%17.57M
10.54%17.16M
8.59%16.58M
11.85%16.23M
11.85%16.23M
Other liabilities
1.40%62.56M
-0.29%61.1M
1.49%58.56M
-5.82%58.59M
-5.82%58.59M
1.10%61.7M
-4.58%61.28M
-14.87%57.7M
-16.48%62.21M
-16.48%62.21M
Total liabilities
2.92%1.15B
2.73%1.13B
-1.71%1.13B
-4.34%1.12B
-4.34%1.12B
-6.32%1.12B
-7.29%1.1B
-6.64%1.15B
-6.37%1.17B
-6.37%1.17B
Shareholders'equity
Share capital
5.55%42.24M
5.99%42.17M
6.60%40.1M
6.88%40.1M
6.88%40.1M
6.89%40.02M
6.50%39.79M
6.30%37.61M
6.32%37.52M
6.32%37.52M
-common stock
5.55%42.24M
5.99%42.17M
6.60%40.1M
6.88%40.1M
6.88%40.1M
6.89%40.02M
6.50%39.79M
6.30%37.61M
6.32%37.52M
6.32%37.52M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Paid-in capital
9.40%78.98M
9.86%78.75M
12.22%72.73M
11.82%72.42M
11.82%72.42M
11.34%72.19M
10.87%71.69M
11.01%64.81M
11.70%64.77M
11.70%64.77M
Retained earnings
10.43%225.4M
6.74%213.57M
5.78%214.45M
2.38%206.98M
2.38%206.98M
12.82%204.12M
9.17%200.08M
7.97%202.73M
9.55%202.16M
9.55%202.16M
Gains losses not affecting retained earnings
99.77%-42.55K
35.65%-8.3M
12.99%-7.78M
47.32%-6.89M
47.32%-6.89M
-21.30%-18.28M
-191.05%-12.89M
-252.08%-8.94M
-172.33%-13.07M
-172.33%-13.07M
Less: Treasury stock
6.56%6.49M
14.22%6.67M
7.79%5.34M
29.66%5.66M
29.66%5.66M
20.81%6.09M
-6.23%5.84M
486.59%4.95M
136.59%4.37M
136.59%4.37M
Other equity interest
4.99%6.24M
4.93%6.24M
2.86%5.94M
2.84%5.94M
2.84%5.94M
2.84%5.94M
1.53%5.95M
0.79%5.78M
0.81%5.78M
0.81%5.78M
Total stockholders'equity
16.26%346.32M
9.04%325.77M
7.77%320.1M
6.87%312.9M
6.87%312.9M
10.80%297.89M
6.52%298.76M
1.62%297.03M
-2.33%292.79M
-2.33%292.79M
Total equity
16.26%346.32M
9.04%325.77M
7.77%320.1M
6.87%312.9M
6.87%312.9M
10.80%297.89M
6.52%298.76M
1.62%297.03M
-2.33%292.79M
-2.33%292.79M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 5.43%924.29M2.94%918.01M0.09%922.07M-0.33%931.7M-0.33%931.7M-4.74%876.65M7.83%891.82M8.85%921.23M13.81%934.78M13.81%934.78M
-Equity investments -3.06%324.29M-4.85%303.25M2,190.09%282.92M2,970.86%358.75M2,970.86%358.75M3,125.70%334.54M2,746.04%318.71M7.32%12.35M0.74%11.68M0.74%11.68M
-Net loan 12.33%297.85M4.68%300.17M-6.34%284.21M-10.09%291.16M-10.09%291.16M-21.13%265.16M-1.26%286.75M2.60%303.46M10.39%323.82M10.39%323.82M
-Short term investments 12.83%38.61M25.06%61.13M-69.77%108.08M-89.47%36.42M-89.47%36.42M-89.33%34.22M-81.94%48.88M31.36%357.57M33.39%345.86M33.39%345.86M
-Other invested assets 8.57%263.54M6.73%253.47M-0.40%246.87M-3.18%245.36M-3.18%245.36M-4.01%242.73M-6.79%237.49M-7.12%247.85M-1.44%253.42M-1.44%253.42M
Cash and cash equivalents 26.68%170.71M30.24%143.63M51.61%150.93M4.98%126.94M4.98%126.94M58.63%134.75M-16.00%110.29M-31.64%99.55M-7.94%120.92M-7.94%120.92M
Restricted cash and cash equivalents 40.44%27.96M16.29%22.6M9.67%20.88M5.78%20.03M5.78%20.03M21.65%19.91M10.85%19.43M14.09%19.04M11.79%18.94M11.79%18.94M
Receivables 1.61%30.75M7.13%28.41M1.04%31.6M-30.76%30.19M-30.76%30.19M-4.61%30.26M-23.66%26.51M6.84%31.28M31.48%43.61M31.48%43.61M
-Accounts receivable 1.61%30.75M7.13%28.41M41.71%31.6M7.93%24.43M7.93%24.43M-4.61%30.26M-23.66%26.51M-23.82%22.3M0.56%22.64M0.56%22.64M
-Other receivables -------------66.99%7.66M-66.99%7.66M----------10.84M86.24%23.2M86.24%23.2M
-Recievables adjustments allowances ------------14.88%-1.9M14.88%-1.9M-----------1.87M-23.83%-2.23M-23.83%-2.23M
Accrued investment income -35.92%7.86M-13.26%8.84M-4.94%8.96M-1.25%10.17M-1.25%10.17M13.12%12.27M23.64%10.19M67.37%9.43M63.15%10.3M63.15%10.3M
Deferred policy acquisition costs 4.97%129.47M4.94%127.12M6.25%126.57M5.37%124.82M5.37%124.82M4.65%123.34M2.94%121.13M4.06%119.13M4.40%118.46M4.40%118.46M
Net PPE -3.90%27.53M-4.74%27.59M-3.34%28.36M-4.52%28.34M-4.52%28.34M-3.42%28.65M-3.38%28.97M-2.71%29.34M-2.67%29.68M-2.67%29.68M
Goodwill and other intangible assets -5.06%8.31M-3.11%8.43M1.81%8.57M1.45%11.72M1.45%11.72M-85.33%8.75M-85.87%8.7M-86.16%8.42M-81.32%11.55M-81.32%11.55M
-Goodwill 0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M0.00%5.25M
-Other intangible assets -12.67%3.05M-7.85%3.17M4.80%3.32M2.66%6.46M2.66%6.46M-93.57%3.49M-93.88%3.44M-94.30%3.17M-88.87%6.3M-88.87%6.3M
Assets of discontinued operations -8.53%143.9M-7.31%151.21M-30.27%125.8M-14.94%129.58M-14.94%129.58M-2.97%157.31M-23.27%163.14M-23.87%180.41M-50.30%152.34M-50.30%152.34M
Other assets 9.93%24.05M6.23%24.89M-9.96%22.74M-16.90%17.07M-16.90%17.07M-17.84%21.88M-25.63%23.43M-25.27%25.26M-21.51%20.54M-21.51%20.54M
Total assets 5.73%1.49B4.07%1.46B0.24%1.45B-2.09%1.43B-2.09%1.43B-3.17%1.41B-4.66%1.4B-5.05%1.44B-5.59%1.46B-5.59%1.46B
Liabilities
Policy holders liabilities reserve 3.11%939.87M3.21%933.49M3.10%925.78M2.97%918.58M2.97%918.58M3.02%911.53M2.93%904.45M2.86%897.91M2.97%892.1M2.97%892.1M
Payables 17.69%19.59M-3.99%17.91M-45.81%19.22M-53.73%16.69M-53.73%16.69M-40.61%16.65M-43.34%18.66M-6.31%35.46M-12.45%36.07M-12.45%36.07M
-Accounts payable 9.00%3.25M2.48%3.3M7.74%3.56M-45.22%2.94M-45.22%2.94M-38.75%2.98M-45.64%3.22M-62.65%3.3M-47.26%5.36M-47.26%5.36M
-Total tax payable 19.58%16.35M-5.34%14.62M-51.31%15.66M-55.22%13.75M-55.22%13.75M-41.00%13.67M-42.84%15.44M10.88%32.16M-1.05%30.71M-1.05%30.71M
Short term debt and capital lease obligation -------------87.70%7.73M-87.70%7.73M-------------61.02%62.88M-61.02%62.88M
-Current debt -------------87.70%7.73M-87.70%7.73M-------------61.02%62.88M-61.02%62.88M
Long term debt and capital lease obligation -1.33%106.99M0.23%103.54M-24.61%104.34M-1.02%97.82M-1.02%97.82M-46.18%108.43M-48.44%103.3M-40.76%138.39M9.84%98.83M9.84%98.83M
-Long term debt -1.33%106.99M0.23%103.54M-24.61%104.34M-1.01%97.81M-1.01%97.81M-46.18%108.43M-48.44%103.3M-40.76%138.39M9.88%98.8M9.88%98.8M
-Long term capital lease obligation -------------49.97%15.55K-49.97%15.55K-------------50.48%31.08K-50.48%31.08K
Non current deferred liabilities 10.92%19.49M10.27%18.92M11.57%18.5M12.39%18.24M12.39%18.24M10.71%17.57M10.54%17.16M8.59%16.58M11.85%16.23M11.85%16.23M
Other liabilities 1.40%62.56M-0.29%61.1M1.49%58.56M-5.82%58.59M-5.82%58.59M1.10%61.7M-4.58%61.28M-14.87%57.7M-16.48%62.21M-16.48%62.21M
Total liabilities 2.92%1.15B2.73%1.13B-1.71%1.13B-4.34%1.12B-4.34%1.12B-6.32%1.12B-7.29%1.1B-6.64%1.15B-6.37%1.17B-6.37%1.17B
Shareholders'equity
Share capital 5.55%42.24M5.99%42.17M6.60%40.1M6.88%40.1M6.88%40.1M6.89%40.02M6.50%39.79M6.30%37.61M6.32%37.52M6.32%37.52M
-common stock 5.55%42.24M5.99%42.17M6.60%40.1M6.88%40.1M6.88%40.1M6.89%40.02M6.50%39.79M6.30%37.61M6.32%37.52M6.32%37.52M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Paid-in capital 9.40%78.98M9.86%78.75M12.22%72.73M11.82%72.42M11.82%72.42M11.34%72.19M10.87%71.69M11.01%64.81M11.70%64.77M11.70%64.77M
Retained earnings 10.43%225.4M6.74%213.57M5.78%214.45M2.38%206.98M2.38%206.98M12.82%204.12M9.17%200.08M7.97%202.73M9.55%202.16M9.55%202.16M
Gains losses not affecting retained earnings 99.77%-42.55K35.65%-8.3M12.99%-7.78M47.32%-6.89M47.32%-6.89M-21.30%-18.28M-191.05%-12.89M-252.08%-8.94M-172.33%-13.07M-172.33%-13.07M
Less: Treasury stock 6.56%6.49M14.22%6.67M7.79%5.34M29.66%5.66M29.66%5.66M20.81%6.09M-6.23%5.84M486.59%4.95M136.59%4.37M136.59%4.37M
Other equity interest 4.99%6.24M4.93%6.24M2.86%5.94M2.84%5.94M2.84%5.94M2.84%5.94M1.53%5.95M0.79%5.78M0.81%5.78M0.81%5.78M
Total stockholders'equity 16.26%346.32M9.04%325.77M7.77%320.1M6.87%312.9M6.87%312.9M10.80%297.89M6.52%298.76M1.62%297.03M-2.33%292.79M-2.33%292.79M
Total equity 16.26%346.32M9.04%325.77M7.77%320.1M6.87%312.9M6.87%312.9M10.80%297.89M6.52%298.76M1.62%297.03M-2.33%292.79M-2.33%292.79M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
Heat List
US
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Symbol
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