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STC Stewart Information Services

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  • 75.090
  • -0.370-0.49%
Close Nov 29 13:00 ET
  • 75.090
  • 0.0000.00%
Post 13:53 ET
2.08BMarket Cap35.42P/E (TTM)

Stewart Information Services 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
4.46%733.57M
-0.92%704.27M
-0.46%716.72M
-2.14%723.18M
-2.14%723.18M
1.48%702.26M
0.23%710.79M
0.71%720.06M
5.32%738.98M
5.32%738.98M
-Fixed maturity investments
3.78%607.54M
-2.88%584.59M
-1.85%597.06M
-0.28%610.24M
-0.28%610.24M
0.51%585.41M
1.41%601.93M
-12.15%608.31M
3.76%611.93M
3.76%611.93M
-Equity investments
7.68%81.12M
-2.40%76.35M
-5.58%76.89M
-28.99%69.7M
-28.99%69.7M
-13.58%75.33M
-16.49%78.23M
--81.44M
9.73%98.15M
9.73%98.15M
-Investments in other ventures under equity method
----
----
----
-7.76%4.22M
-7.76%4.22M
-1.34%4.28M
-12.41%4.07M
-13.90%3.9M
-3.77%4.58M
-3.77%4.58M
-Short term investments
20.61%44.91M
63.14%43.34M
61.98%42.77M
60.47%39.02M
60.47%39.02M
106.00%37.24M
53.72%26.57M
46.27%26.41M
37.78%24.32M
37.78%24.32M
Cash and cash equivalents
-9.47%183.77M
-29.80%133.41M
-20.86%138.35M
-6.04%233.37M
-6.04%233.37M
-36.75%202.99M
-53.11%190.04M
-55.93%174.82M
-48.89%248.37M
-48.89%248.37M
Receivables
32.80%152.34M
15.72%149.38M
8.98%142.62M
6.10%124.9M
6.10%124.9M
-1.84%114.71M
4.88%129.09M
13.03%130.87M
-1.35%117.72M
-1.35%117.72M
-Accounts receivable
28.18%134.43M
15.50%131.46M
12.02%125.61M
6.63%114.38M
6.63%114.38M
-3.83%104.87M
-6.04%113.82M
-4.65%112.13M
-10.99%107.27M
-10.99%107.27M
-Notes receivable
55.49%21.4M
57.65%21.23M
175.62%20.58M
94.73%14.57M
94.73%14.57M
129.61%13.77M
190.61%13.46M
110.64%7.47M
565.66%7.48M
565.66%7.48M
-Taxes receivable
13.35%5.36M
-49.47%4.88M
-76.29%4.44M
-65.62%3.54M
-65.62%3.54M
-49.71%4.73M
122.71%9.66M
802.03%18.71M
89.69%10.28M
89.69%10.28M
-Recievables adjustments allowances
-2.30%-8.85M
-4.24%-8.19M
-7.53%-8M
-3.75%-7.58M
-3.75%-7.58M
-14.19%-8.65M
-11.74%-7.85M
-0.07%-7.44M
5.21%-7.31M
5.21%-7.31M
Net PPE
-30.28%195.55M
-31.03%195.38M
-30.36%196.54M
-3.95%271.57M
-3.95%271.57M
-1.34%280.48M
-0.35%283.29M
-2.77%282.23M
-0.41%282.73M
-0.41%282.73M
Goodwill and other intangible assets
4.58%1.33B
4.05%1.33B
3.54%1.33B
-0.53%1.27B
-0.53%1.27B
12.09%1.27B
11.07%1.28B
10.53%1.29B
10.17%1.27B
10.17%1.27B
-Goodwill
0.81%1.08B
0.55%1.08B
-2.02%1.07B
-0.08%1.07B
-0.08%1.07B
11.47%1.07B
11.46%1.07B
17.36%1.09B
16.02%1.07B
16.02%1.07B
-Other intangible assets
24.64%251.19M
22.48%250.49M
35.42%258.43M
-2.96%193.2M
-2.96%193.2M
15.54%201.54M
9.07%204.51M
-17.12%190.83M
-13.37%199.08M
-13.37%199.08M
Other assets
39.13%128.72M
54.88%128.34M
47.34%122.69M
7.04%80.74M
7.04%80.74M
-38.67%92.52M
6.21%82.86M
8.49%83.27M
17.67%75.43M
17.67%75.43M
Total assets
2.27%2.73B
-1.21%2.65B
-1.03%2.65B
-1.28%2.7B
-1.28%2.7B
-1.35%2.67B
-2.81%2.68B
-2.97%2.68B
-2.68%2.74B
-2.68%2.74B
Liabilities
Policy holders liabilities reserve
-0.73%517.59M
-2.23%512.45M
-2.66%519.23M
-3.85%528.27M
-3.85%528.27M
-4.72%521.4M
-6.85%524.14M
-4.87%533.42M
-0.03%549.45M
-0.03%549.45M
Long term debt and capital lease obligation
-3.19%568.49M
-3.18%572.88M
-2.45%578.16M
-2.36%580.94M
-2.36%580.94M
-0.92%587.2M
-0.62%591.68M
-1.37%592.66M
-5.99%595.01M
-5.99%595.01M
-Long term debt
0.12%445.7M
0.12%445.57M
0.08%445.43M
-0.38%445.29M
-0.38%445.29M
-0.27%445.16M
0.03%445.03M
-0.19%445.07M
-7.35%447.01M
-7.35%447.01M
-Long term capital lease obligation
-13.56%122.79M
-13.19%127.31M
-10.08%132.72M
-8.34%135.65M
-8.34%135.65M
-2.92%142.04M
-2.54%146.65M
-4.76%147.59M
-1.60%148M
-1.60%148M
Non current deferred liabilities
34.81%32.48M
-17.40%23.51M
-22.31%23.49M
-5.90%25.05M
-5.90%25.05M
0.40%24.09M
-23.42%28.46M
-27.04%30.23M
-45.44%26.62M
-45.44%26.62M
Total liabilities
0.41%1.32B
-2.87%1.27B
-2.43%1.29B
-3.17%1.32B
-3.17%1.32B
-2.83%1.31B
-6.00%1.31B
-8.14%1.32B
-9.94%1.37B
-9.94%1.37B
Shareholders'equity
Share capital
4.51%353.17M
3.93%345.08M
4.12%341.31M
0.87%27.72M
0.87%27.72M
5.11%337.92M
5.00%332.03M
5.11%327.82M
0.87%27.48M
0.87%27.48M
-common stock
4.51%353.17M
3.93%345.08M
4.12%341.31M
0.87%27.72M
0.87%27.72M
5.11%337.92M
5.00%332.03M
5.11%327.82M
0.87%27.48M
0.87%27.48M
Paid-in capital
----
----
----
4.67%310.73M
4.67%310.73M
----
----
----
5.13%296.86M
5.13%296.86M
Retained earnings
0.53%1.08B
-0.89%1.06B
-0.98%1.06B
-1.92%1.07B
-1.92%1.07B
-1.44%1.08B
0.06%1.07B
4.78%1.07B
12.00%1.09B
12.00%1.09B
Gains losses not affecting retained earnings
58.54%-24.3M
6.10%-42.56M
5.05%-41.81M
31.41%-35.22M
31.41%-35.22M
9.55%-58.62M
-12.75%-45.33M
-129.23%-44.04M
-20,393.68%-51.34M
-20,393.68%-51.34M
Less: Treasury stock
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
0.00%2.67M
Total stockholders'equity
4.08%1.41B
0.46%1.36B
0.38%1.36B
0.68%1.37B
0.68%1.37B
0.51%1.35B
0.84%1.36B
3.05%1.35B
6.25%1.36B
6.25%1.36B
Noncontrolling interests
-1.14%7.25M
-12.70%6.55M
-11.12%6.5M
-12.03%7.14M
-12.03%7.14M
-41.51%7.34M
-40.81%7.5M
-40.64%7.31M
-36.24%8.11M
-36.24%8.11M
Total equity
4.06%1.41B
0.39%1.37B
0.32%1.36B
0.60%1.38B
0.60%1.38B
0.13%1.36B
0.45%1.37B
2.64%1.36B
5.83%1.37B
5.83%1.37B
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 4.46%733.57M-0.92%704.27M-0.46%716.72M-2.14%723.18M-2.14%723.18M1.48%702.26M0.23%710.79M0.71%720.06M5.32%738.98M5.32%738.98M
-Fixed maturity investments 3.78%607.54M-2.88%584.59M-1.85%597.06M-0.28%610.24M-0.28%610.24M0.51%585.41M1.41%601.93M-12.15%608.31M3.76%611.93M3.76%611.93M
-Equity investments 7.68%81.12M-2.40%76.35M-5.58%76.89M-28.99%69.7M-28.99%69.7M-13.58%75.33M-16.49%78.23M--81.44M9.73%98.15M9.73%98.15M
-Investments in other ventures under equity method -------------7.76%4.22M-7.76%4.22M-1.34%4.28M-12.41%4.07M-13.90%3.9M-3.77%4.58M-3.77%4.58M
-Short term investments 20.61%44.91M63.14%43.34M61.98%42.77M60.47%39.02M60.47%39.02M106.00%37.24M53.72%26.57M46.27%26.41M37.78%24.32M37.78%24.32M
Cash and cash equivalents -9.47%183.77M-29.80%133.41M-20.86%138.35M-6.04%233.37M-6.04%233.37M-36.75%202.99M-53.11%190.04M-55.93%174.82M-48.89%248.37M-48.89%248.37M
Receivables 32.80%152.34M15.72%149.38M8.98%142.62M6.10%124.9M6.10%124.9M-1.84%114.71M4.88%129.09M13.03%130.87M-1.35%117.72M-1.35%117.72M
-Accounts receivable 28.18%134.43M15.50%131.46M12.02%125.61M6.63%114.38M6.63%114.38M-3.83%104.87M-6.04%113.82M-4.65%112.13M-10.99%107.27M-10.99%107.27M
-Notes receivable 55.49%21.4M57.65%21.23M175.62%20.58M94.73%14.57M94.73%14.57M129.61%13.77M190.61%13.46M110.64%7.47M565.66%7.48M565.66%7.48M
-Taxes receivable 13.35%5.36M-49.47%4.88M-76.29%4.44M-65.62%3.54M-65.62%3.54M-49.71%4.73M122.71%9.66M802.03%18.71M89.69%10.28M89.69%10.28M
-Recievables adjustments allowances -2.30%-8.85M-4.24%-8.19M-7.53%-8M-3.75%-7.58M-3.75%-7.58M-14.19%-8.65M-11.74%-7.85M-0.07%-7.44M5.21%-7.31M5.21%-7.31M
Net PPE -30.28%195.55M-31.03%195.38M-30.36%196.54M-3.95%271.57M-3.95%271.57M-1.34%280.48M-0.35%283.29M-2.77%282.23M-0.41%282.73M-0.41%282.73M
Goodwill and other intangible assets 4.58%1.33B4.05%1.33B3.54%1.33B-0.53%1.27B-0.53%1.27B12.09%1.27B11.07%1.28B10.53%1.29B10.17%1.27B10.17%1.27B
-Goodwill 0.81%1.08B0.55%1.08B-2.02%1.07B-0.08%1.07B-0.08%1.07B11.47%1.07B11.46%1.07B17.36%1.09B16.02%1.07B16.02%1.07B
-Other intangible assets 24.64%251.19M22.48%250.49M35.42%258.43M-2.96%193.2M-2.96%193.2M15.54%201.54M9.07%204.51M-17.12%190.83M-13.37%199.08M-13.37%199.08M
Other assets 39.13%128.72M54.88%128.34M47.34%122.69M7.04%80.74M7.04%80.74M-38.67%92.52M6.21%82.86M8.49%83.27M17.67%75.43M17.67%75.43M
Total assets 2.27%2.73B-1.21%2.65B-1.03%2.65B-1.28%2.7B-1.28%2.7B-1.35%2.67B-2.81%2.68B-2.97%2.68B-2.68%2.74B-2.68%2.74B
Liabilities
Policy holders liabilities reserve -0.73%517.59M-2.23%512.45M-2.66%519.23M-3.85%528.27M-3.85%528.27M-4.72%521.4M-6.85%524.14M-4.87%533.42M-0.03%549.45M-0.03%549.45M
Long term debt and capital lease obligation -3.19%568.49M-3.18%572.88M-2.45%578.16M-2.36%580.94M-2.36%580.94M-0.92%587.2M-0.62%591.68M-1.37%592.66M-5.99%595.01M-5.99%595.01M
-Long term debt 0.12%445.7M0.12%445.57M0.08%445.43M-0.38%445.29M-0.38%445.29M-0.27%445.16M0.03%445.03M-0.19%445.07M-7.35%447.01M-7.35%447.01M
-Long term capital lease obligation -13.56%122.79M-13.19%127.31M-10.08%132.72M-8.34%135.65M-8.34%135.65M-2.92%142.04M-2.54%146.65M-4.76%147.59M-1.60%148M-1.60%148M
Non current deferred liabilities 34.81%32.48M-17.40%23.51M-22.31%23.49M-5.90%25.05M-5.90%25.05M0.40%24.09M-23.42%28.46M-27.04%30.23M-45.44%26.62M-45.44%26.62M
Total liabilities 0.41%1.32B-2.87%1.27B-2.43%1.29B-3.17%1.32B-3.17%1.32B-2.83%1.31B-6.00%1.31B-8.14%1.32B-9.94%1.37B-9.94%1.37B
Shareholders'equity
Share capital 4.51%353.17M3.93%345.08M4.12%341.31M0.87%27.72M0.87%27.72M5.11%337.92M5.00%332.03M5.11%327.82M0.87%27.48M0.87%27.48M
-common stock 4.51%353.17M3.93%345.08M4.12%341.31M0.87%27.72M0.87%27.72M5.11%337.92M5.00%332.03M5.11%327.82M0.87%27.48M0.87%27.48M
Paid-in capital ------------4.67%310.73M4.67%310.73M------------5.13%296.86M5.13%296.86M
Retained earnings 0.53%1.08B-0.89%1.06B-0.98%1.06B-1.92%1.07B-1.92%1.07B-1.44%1.08B0.06%1.07B4.78%1.07B12.00%1.09B12.00%1.09B
Gains losses not affecting retained earnings 58.54%-24.3M6.10%-42.56M5.05%-41.81M31.41%-35.22M31.41%-35.22M9.55%-58.62M-12.75%-45.33M-129.23%-44.04M-20,393.68%-51.34M-20,393.68%-51.34M
Less: Treasury stock 0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M0.00%2.67M
Total stockholders'equity 4.08%1.41B0.46%1.36B0.38%1.36B0.68%1.37B0.68%1.37B0.51%1.35B0.84%1.36B3.05%1.35B6.25%1.36B6.25%1.36B
Noncontrolling interests -1.14%7.25M-12.70%6.55M-11.12%6.5M-12.03%7.14M-12.03%7.14M-41.51%7.34M-40.81%7.5M-40.64%7.31M-36.24%8.11M-36.24%8.11M
Total equity 4.06%1.41B0.39%1.37B0.32%1.36B0.60%1.38B0.60%1.38B0.13%1.36B0.45%1.37B2.64%1.36B5.83%1.37B5.83%1.37B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

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