US Stock MarketDetailed Quotes

WRB WR Berkley

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  • 57.090
  • -0.040-0.07%
Trading Aug 12 09:51 ET
21.73BMarket Cap15.04P/E (TTM)

WR Berkley 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
15.22%26.6B
13.98%26.35B
10.59%25.28B
10.59%25.28B
6.29%24.09B
3.68%23.09B
6.63%23.12B
3.10%22.86B
3.10%22.86B
7.36%22.66B
-Fixed maturity investments
-16.72%43.56M
--53.98M
4.05%53.37M
4.05%53.37M
--52.83M
--52.31M
----
--51.3M
--51.3M
----
-Equity investments
-13.04%1.08B
-7.96%1.18B
-8.06%1.09B
-8.06%1.09B
0.72%1.18B
7.30%1.24B
13.62%1.28B
25.99%1.19B
25.99%1.19B
43.34%1.17B
-Trading assets
68.77%1.22B
88.20%1.15B
-0.65%938.05M
-0.65%938.05M
-29.18%825.05M
-36.61%723.97M
-48.78%609M
-19.95%944.23M
-19.95%944.23M
35.41%1.17B
-Net loan
92.40%349.33M
17.35%228.77M
4.28%201.27M
4.28%201.27M
57.58%177.75M
59.99%181.56M
69.37%194.94M
67.58%193M
67.58%193M
-2.33%112.8M
-Investments in other ventures under equity method
-0.32%1.59B
-2.86%1.56B
0.81%1.62B
0.81%1.62B
-3.70%1.6B
-6.35%1.59B
3.62%1.6B
8.64%1.61B
8.64%1.61B
18.64%1.66B
-Short term investments
16.86%21.04B
15.59%20.91B
14.76%20.12B
14.76%20.12B
10.17%18.98B
6.83%18B
10.14%18.09B
5.62%17.54B
5.62%17.54B
7.20%17.23B
-Other invested assets
-1.00%1.28B
-4.89%1.27B
-6.77%1.25B
-6.77%1.25B
-3.79%1.27B
-0.91%1.29B
4.89%1.34B
-27.63%1.34B
-27.63%1.34B
-28.32%1.32B
Cash and cash equivalents
-13.34%1.58B
-5.90%1.17B
-5.94%1.36B
-5.94%1.36B
45.57%1.65B
38.50%1.82B
-41.26%1.24B
-7.62%1.45B
-7.62%1.45B
-45.35%1.13B
Receivables
-1.27%7.19B
0.83%6.94B
11.36%6.95B
11.36%6.95B
22.16%7.22B
24.41%7.29B
24.56%6.89B
14.09%6.24B
14.09%6.24B
6.78%5.91B
-Accounts receivable
0.02%6.97B
2.12%6.82B
12.04%6.95B
12.04%6.95B
17.24%6.93B
19.05%6.97B
20.84%6.68B
13.86%6.2B
13.86%6.2B
6.78%5.91B
-Taxes receivable
-29.87%220.08M
-41.18%120.75M
-96.63%1.32M
-96.63%1.32M
--291.36M
--313.84M
--205.29M
65.99%39.12M
65.99%39.12M
----
Accrued investment income
21.92%225.21M
20.11%217.8M
27.95%213.41M
27.95%213.41M
33.42%201.21M
38.88%184.73M
40.36%181.34M
35.67%166.78M
35.67%166.78M
19.45%150.8M
Prepaid assets
8.20%814.86M
8.04%757.66M
8.97%758.93M
8.97%758.93M
7.87%756.24M
8.38%753.09M
3.03%701.3M
2.89%696.47M
2.89%696.47M
4.49%701.04M
Deferred policy acquisition costs
13.14%939.45M
13.00%888.72M
12.85%861.61M
12.85%861.61M
11.40%854.37M
10.24%830.32M
9.75%786.5M
12.92%763.49M
12.92%763.49M
15.74%766.92M
Net PPE
13.30%477.03M
10.87%466.86M
0.84%426.8M
0.84%426.8M
2.19%423.28M
1.35%421.05M
0.77%421.1M
0.80%423.23M
0.80%423.23M
-1.36%414.23M
Goodwill and other intangible assets
5.44%184.09M
-5.88%174.6M
-5.88%174.6M
-5.88%174.6M
2.91%174.6M
2.91%174.6M
9.35%185.51M
9.35%185.51M
9.35%185.51M
0.00%169.65M
-Goodwill
5.44%184.09M
-5.88%174.6M
-5.88%174.6M
-5.88%174.6M
2.91%174.6M
2.91%174.6M
9.35%185.51M
9.35%185.51M
9.35%185.51M
0.00%169.65M
Other assets
19.62%894.95M
14.12%886.48M
17.60%865.56M
17.60%865.56M
-2.27%740.23M
-5.00%748.18M
0.69%776.82M
-2.28%736.02M
-2.28%736.02M
6.21%757.39M
Total assets
10.20%38.91B
10.37%37.85B
9.87%37.2B
9.87%37.2B
9.17%36.11B
8.00%35.31B
6.34%34.3B
5.53%33.86B
5.53%33.86B
4.86%33.08B
Liabilities
Policy holders liabilities reserve
10.29%22.79B
10.25%22B
10.42%21.58B
10.42%21.58B
10.19%21.19B
10.10%20.67B
9.62%19.96B
10.46%19.55B
10.46%19.55B
11.45%19.23B
Payables
22.11%730.41M
26.73%683.51M
21.74%678.69M
21.74%678.69M
7.99%626.45M
10.43%598.16M
-7.21%539.33M
-5.46%557.48M
-5.46%557.48M
4.05%580.08M
-Accounts payable
22.11%730.41M
26.73%683.51M
20.65%631.16M
20.65%631.16M
8.15%626.45M
10.43%598.16M
2.82%539.33M
-8.00%523.13M
-8.00%523.13M
3.91%579.26M
-Total tax payable
----
----
38.36%47.53M
38.36%47.53M
----
----
----
63.04%34.35M
63.04%34.35M
----
-Other payable
----
----
----
----
----
----
----
----
----
--820K
Short term debt and capital lease obligation
----
----
0.00%5.4M
0.00%5.4M
----
----
----
--5.4M
--5.4M
----
-Current debt
----
----
0.00%5.4M
0.00%5.4M
----
----
----
--5.4M
--5.4M
----
Long term debt and capital lease obligation
0.07%2.84B
0.03%2.84B
-0.01%2.83B
-0.01%2.83B
-0.19%2.84B
-0.16%2.84B
-0.19%2.84B
-13.32%2.83B
-13.32%2.83B
-12.97%2.84B
-Long term debt
0.07%2.84B
0.03%2.84B
-0.01%2.83B
-0.01%2.83B
-0.19%2.84B
-0.16%2.84B
-0.19%2.84B
-13.32%2.83B
-13.32%2.83B
-12.97%2.84B
Non current deferred liabilities
----
----
266.31%42.66M
266.31%42.66M
----
----
----
-33.34%11.65M
-33.34%11.65M
----
Unrepurchased pre-sale securities
--81.27M
--40.3M
--9.36M
--9.36M
125,533.33%7.54M
----
----
--0
--0
-99.19%6K
Other liabilities
8.85%4.68B
12.30%4.49B
10.65%4.58B
10.65%4.58B
11.50%4.52B
7.43%4.3B
7.05%4B
7.60%4.14B
7.60%4.14B
6.63%4.06B
Total liabilities
9.59%31.12B
9.96%30.05B
9.74%29.73B
9.74%29.73B
9.27%29.18B
8.58%28.4B
7.76%27.33B
6.59%27.09B
6.59%27.09B
7.34%26.71B
Shareholders'equity
Share capital
50.00%158.71M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
50.00%105.8M
-common stock
50.00%158.71M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
0.00%105.8M
50.00%105.8M
-Preferred stock
--0
--0
--0
--0
--0
--0
----
--0
--0
--0
Paid-in capital
-3.32%986.89M
2.22%1.03B
2.02%1.02B
2.02%1.02B
2.39%1.01B
1.97%1.02B
1.62%1.01B
1.67%997.53M
1.67%997.53M
-3.29%984.8M
Retained earnings
9.84%11.67B
11.25%11.46B
8.66%11.04B
8.66%11.04B
10.15%10.8B
10.64%10.62B
7.45%10.3B
12.71%10.16B
12.71%10.16B
9.92%9.81B
Gains losses not affecting retained earnings
12.53%-1.03B
5.13%-1.02B
26.79%-925.84M
26.79%-925.84M
4.55%-1.32B
-14.77%-1.18B
-66.18%-1.08B
-348.50%-1.26B
-348.50%-1.26B
-626.08%-1.39B
Less: Treasury stock
8.84%4.01B
11.68%3.78B
16.35%3.78B
16.35%3.78B
16.20%3.68B
16.32%3.68B
6.97%3.39B
2.66%3.25B
2.66%3.25B
-0.19%3.16B
Total stockholders'equity
12.87%7.77B
12.11%7.78B
10.48%7.46B
10.48%7.46B
8.97%6.92B
5.72%6.89B
1.16%6.94B
1.43%6.75B
1.43%6.75B
-4.55%6.35B
Noncontrolling interests
-37.31%13.27M
-36.69%13.68M
-30.37%13.81M
-30.37%13.81M
-40.07%14.33M
-5.45%21.17M
-7.25%21.61M
34.72%19.83M
34.72%19.83M
56.58%23.91M
Total equity
12.72%7.79B
11.96%7.8B
10.36%7.47B
10.36%7.47B
8.79%6.93B
5.68%6.91B
1.13%6.97B
1.51%6.77B
1.51%6.77B
-4.41%6.37B
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
--
--
--
--
--
--
--
(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 15.22%26.6B13.98%26.35B10.59%25.28B10.59%25.28B6.29%24.09B3.68%23.09B6.63%23.12B3.10%22.86B3.10%22.86B7.36%22.66B
-Fixed maturity investments -16.72%43.56M--53.98M4.05%53.37M4.05%53.37M--52.83M--52.31M------51.3M--51.3M----
-Equity investments -13.04%1.08B-7.96%1.18B-8.06%1.09B-8.06%1.09B0.72%1.18B7.30%1.24B13.62%1.28B25.99%1.19B25.99%1.19B43.34%1.17B
-Trading assets 68.77%1.22B88.20%1.15B-0.65%938.05M-0.65%938.05M-29.18%825.05M-36.61%723.97M-48.78%609M-19.95%944.23M-19.95%944.23M35.41%1.17B
-Net loan 92.40%349.33M17.35%228.77M4.28%201.27M4.28%201.27M57.58%177.75M59.99%181.56M69.37%194.94M67.58%193M67.58%193M-2.33%112.8M
-Investments in other ventures under equity method -0.32%1.59B-2.86%1.56B0.81%1.62B0.81%1.62B-3.70%1.6B-6.35%1.59B3.62%1.6B8.64%1.61B8.64%1.61B18.64%1.66B
-Short term investments 16.86%21.04B15.59%20.91B14.76%20.12B14.76%20.12B10.17%18.98B6.83%18B10.14%18.09B5.62%17.54B5.62%17.54B7.20%17.23B
-Other invested assets -1.00%1.28B-4.89%1.27B-6.77%1.25B-6.77%1.25B-3.79%1.27B-0.91%1.29B4.89%1.34B-27.63%1.34B-27.63%1.34B-28.32%1.32B
Cash and cash equivalents -13.34%1.58B-5.90%1.17B-5.94%1.36B-5.94%1.36B45.57%1.65B38.50%1.82B-41.26%1.24B-7.62%1.45B-7.62%1.45B-45.35%1.13B
Receivables -1.27%7.19B0.83%6.94B11.36%6.95B11.36%6.95B22.16%7.22B24.41%7.29B24.56%6.89B14.09%6.24B14.09%6.24B6.78%5.91B
-Accounts receivable 0.02%6.97B2.12%6.82B12.04%6.95B12.04%6.95B17.24%6.93B19.05%6.97B20.84%6.68B13.86%6.2B13.86%6.2B6.78%5.91B
-Taxes receivable -29.87%220.08M-41.18%120.75M-96.63%1.32M-96.63%1.32M--291.36M--313.84M--205.29M65.99%39.12M65.99%39.12M----
Accrued investment income 21.92%225.21M20.11%217.8M27.95%213.41M27.95%213.41M33.42%201.21M38.88%184.73M40.36%181.34M35.67%166.78M35.67%166.78M19.45%150.8M
Prepaid assets 8.20%814.86M8.04%757.66M8.97%758.93M8.97%758.93M7.87%756.24M8.38%753.09M3.03%701.3M2.89%696.47M2.89%696.47M4.49%701.04M
Deferred policy acquisition costs 13.14%939.45M13.00%888.72M12.85%861.61M12.85%861.61M11.40%854.37M10.24%830.32M9.75%786.5M12.92%763.49M12.92%763.49M15.74%766.92M
Net PPE 13.30%477.03M10.87%466.86M0.84%426.8M0.84%426.8M2.19%423.28M1.35%421.05M0.77%421.1M0.80%423.23M0.80%423.23M-1.36%414.23M
Goodwill and other intangible assets 5.44%184.09M-5.88%174.6M-5.88%174.6M-5.88%174.6M2.91%174.6M2.91%174.6M9.35%185.51M9.35%185.51M9.35%185.51M0.00%169.65M
-Goodwill 5.44%184.09M-5.88%174.6M-5.88%174.6M-5.88%174.6M2.91%174.6M2.91%174.6M9.35%185.51M9.35%185.51M9.35%185.51M0.00%169.65M
Other assets 19.62%894.95M14.12%886.48M17.60%865.56M17.60%865.56M-2.27%740.23M-5.00%748.18M0.69%776.82M-2.28%736.02M-2.28%736.02M6.21%757.39M
Total assets 10.20%38.91B10.37%37.85B9.87%37.2B9.87%37.2B9.17%36.11B8.00%35.31B6.34%34.3B5.53%33.86B5.53%33.86B4.86%33.08B
Liabilities
Policy holders liabilities reserve 10.29%22.79B10.25%22B10.42%21.58B10.42%21.58B10.19%21.19B10.10%20.67B9.62%19.96B10.46%19.55B10.46%19.55B11.45%19.23B
Payables 22.11%730.41M26.73%683.51M21.74%678.69M21.74%678.69M7.99%626.45M10.43%598.16M-7.21%539.33M-5.46%557.48M-5.46%557.48M4.05%580.08M
-Accounts payable 22.11%730.41M26.73%683.51M20.65%631.16M20.65%631.16M8.15%626.45M10.43%598.16M2.82%539.33M-8.00%523.13M-8.00%523.13M3.91%579.26M
-Total tax payable --------38.36%47.53M38.36%47.53M------------63.04%34.35M63.04%34.35M----
-Other payable --------------------------------------820K
Short term debt and capital lease obligation --------0.00%5.4M0.00%5.4M--------------5.4M--5.4M----
-Current debt --------0.00%5.4M0.00%5.4M--------------5.4M--5.4M----
Long term debt and capital lease obligation 0.07%2.84B0.03%2.84B-0.01%2.83B-0.01%2.83B-0.19%2.84B-0.16%2.84B-0.19%2.84B-13.32%2.83B-13.32%2.83B-12.97%2.84B
-Long term debt 0.07%2.84B0.03%2.84B-0.01%2.83B-0.01%2.83B-0.19%2.84B-0.16%2.84B-0.19%2.84B-13.32%2.83B-13.32%2.83B-12.97%2.84B
Non current deferred liabilities --------266.31%42.66M266.31%42.66M-------------33.34%11.65M-33.34%11.65M----
Unrepurchased pre-sale securities --81.27M--40.3M--9.36M--9.36M125,533.33%7.54M----------0--0-99.19%6K
Other liabilities 8.85%4.68B12.30%4.49B10.65%4.58B10.65%4.58B11.50%4.52B7.43%4.3B7.05%4B7.60%4.14B7.60%4.14B6.63%4.06B
Total liabilities 9.59%31.12B9.96%30.05B9.74%29.73B9.74%29.73B9.27%29.18B8.58%28.4B7.76%27.33B6.59%27.09B6.59%27.09B7.34%26.71B
Shareholders'equity
Share capital 50.00%158.71M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M50.00%105.8M
-common stock 50.00%158.71M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M0.00%105.8M50.00%105.8M
-Preferred stock --0--0--0--0--0--0------0--0--0
Paid-in capital -3.32%986.89M2.22%1.03B2.02%1.02B2.02%1.02B2.39%1.01B1.97%1.02B1.62%1.01B1.67%997.53M1.67%997.53M-3.29%984.8M
Retained earnings 9.84%11.67B11.25%11.46B8.66%11.04B8.66%11.04B10.15%10.8B10.64%10.62B7.45%10.3B12.71%10.16B12.71%10.16B9.92%9.81B
Gains losses not affecting retained earnings 12.53%-1.03B5.13%-1.02B26.79%-925.84M26.79%-925.84M4.55%-1.32B-14.77%-1.18B-66.18%-1.08B-348.50%-1.26B-348.50%-1.26B-626.08%-1.39B
Less: Treasury stock 8.84%4.01B11.68%3.78B16.35%3.78B16.35%3.78B16.20%3.68B16.32%3.68B6.97%3.39B2.66%3.25B2.66%3.25B-0.19%3.16B
Total stockholders'equity 12.87%7.77B12.11%7.78B10.48%7.46B10.48%7.46B8.97%6.92B5.72%6.89B1.16%6.94B1.43%6.75B1.43%6.75B-4.55%6.35B
Noncontrolling interests -37.31%13.27M-36.69%13.68M-30.37%13.81M-30.37%13.81M-40.07%14.33M-5.45%21.17M-7.25%21.61M34.72%19.83M34.72%19.83M56.58%23.91M
Total equity 12.72%7.79B11.96%7.8B10.36%7.47B10.36%7.47B8.79%6.93B5.68%6.91B1.13%6.97B1.51%6.77B1.51%6.77B-4.41%6.37B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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