Selective Insurance Group, Inc.

NASDAQ:SIGI

89.66 (USD) • At close April 17, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 0.0910.180.0260.4550.3940.30.5050.5340.4580.89823.9590.1930.210.7620.6450.8113.6068.3836.4432.98300.0122.2287.2958.7598.5887.9315.017000000000000
Kortetermijnbeleggingen 268.486820.442770.94949.843844.225677.728525.675492.409651.28661.567131.97255.6233,661.87419.768161.155213.848198.111190.167197.019185.111142.7423.04324.719.15595.90848.80750.90528.78133.92400000000000
Liquide middelen en kortetermijnbeleggingen 268.5770.180.0260.4550.3940.30.5050.5340.45862.46523.9590.19341.41220.49161.8214.659216.754198.55203.462188.094142.7423.05526.92826.45104.66757.39558.83633.79833.92400000000000
Nettovorderingen 0000000000000000507.487522.473479.84719.149700.464237.905564.039572.196509.856489.784414.61158.759152165.2156.3146.4131.5109.2123.7117.70000
Voorraad 00000000000000000000000-39.9320-26.809-271.81-31.1896.100000000000
Overige vlottende activa 000000000000132.637147.686110.327105.52296.61782.18269.93567.15758.26452.81746.1412,041.7471,902.3191,886.3382,159.1912,082.0211,933.30300000000000
Totaal vlottende activa 268.5770.180.0260.4550.3940.30.5050.5340.4580.89823.9590.1930.2120.49272.127320.181820.858803.20547.54185.095901.468313.777637.1082,600.4612,516.8422,406.7082,360.8272,243.3892,124.752165.2156.3146.4131.5109.2123.7117.70000
Niet-vlottende activa:
Materiële vaste activa, netto 0124.528126.709117.697117.911103.94465.24863.95969.57665.70159.41650.83447.13143.94741.77546.287058.56159.00453.19455.14453.31752.42455.36357.8254.55850.9545.46548.99349.451.150.951.348.521.520.60000
Goodwill 7.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.8497.849033.63733.63743.2343.61242.80846.49549.33852.00120.39117.3379.89400000000000
Immateriële activa 0424.864368.624326.915288.578271.186252.612235.055222.564213.15900000021.78833.63700000000000.00610.41111.411.92.42.52.60000
Goodwill en immateriële activa 7.849432.713376.473334.764296.427279.035260.461242.904230.413221.0087.8497.8497.8497.8497.8497.84929.63733.63733.63733.63743.2343.61242.80846.49549.33852.00120.39117.3379.910.41111.411.92.42.52.60000
Langetermijnbeleggingen 0447.423442.56409.032266.322216.807178.938132.268102.3975,011.4274,707.6314,475.4374,215.9433,984.123,787.8573,567.2033,342.1983,542.8623,399.0833,085.7872,841.5432,401.9892,102.9921,798.2761,763.4211,694.9751,754.5521,705.6131,613.18400000000000
Belastingvorderingen 0272.924289.029143.563142.729129.107121.697116.747196.97117.513221.0315.1220000000000000000-0.00600000000000
Overige niet-vlottende activa 010,524.7789,567.4649,455.8788,864.138,067.9577,325.887,130.0196,756.0331,587.8861,555.0571,720.735-4,060.42-4,025.326-3,826.323-3,611.03-3,357.821-3,622.713-3,482.504-3,169.075-2,937.199-2,498.918-2,198.224-1,798.276-1,870.579-1,694.975-1,754.552-1,705.613-1,613.184-59.8-62.1-62.3-63.2-50.9-24-23.20000
Totaal niet-vlottende activa 7.84911,802.36610,802.23510,460.9349,687.5198,796.857,952.2247,685.8977,355.396,903.5356,550.9836,269.977210.50310.5911.15810.30914.01412.3479.223.5432.7182,498.9182,198.224101.858107.158106.55971.34162.80258.88759.862.162.363.250.92423.20000
Totaal activa 3,622.75811,802.54610,802.26110,461.3899,687.9138,797.157,952.7297,686.4317,355.8486,904.4336,574.9426,270.176,794.2165,685.4694,914.3035,213.7295,033.6015,156.7464,767.7054,552.2133,929.43,423.9253,016.3352,684.3442,590.9032,507.5452,432.1682,306.22,189.72,113.11,866.71,739.21,478.91,210.61,138.81,074.3962.4855.4720.5606.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000054.81453.58966.88153.717000000000000000000
Kortlopende schulden 000000000000058262.333000000000051.30228.28717.4000505000.614.80000
Belastingschulden 8.6756.2518.8947.20814.0212.9871.30222.26619.7667.4423.92128.4718.13313.0312.93216.00614.22518.45314.8422.2933.1277.9612.5650000.0861.7473.72900000000000
Uitgestelde opbrengsten 0000000000000000000000000000000000000000
Overige kortlopende verplichtingen 11.031122.003106.291113.849100.847123.766123.166109.584113.114159.894154.46182.9560-58-262.333000-54.81468.024-60.992-61.678-2.56500-51.302-28.373-19.147-3.72900-50-500-0.6-14.80000
Totaal kortlopende verplichtingen 19.706128.254115.185121.057114.868126.753124.468131.85132.88167.336158.382111.4278.13313.0312.93216.00614.22518.45314.842123.9069.01600000000000000.600000
Langlopende verplichtingen:
Langetermijnschulden 441.656503.946504.676506.05583.715550.597439.54439.116438.667328.192372.689392.414307.387249.360261.606273.878294.891361.837338.634263.317237.437261.437156.433163.63481.58588.79196.6103.8111.3111.411.313.714.514.62122.6209.5185.6167.5
Uitgestelde opbrengsten niet-vlottend 0000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000000000012.67700007.2260000000000000
Overige niet-vlottende verplichtingen 52.3518,344.2197,770.0216,972.4546,365.3096,051.6175,721.3875,534.3585,385.8115,178.24,926.6674,723.82856.456108.233324.40670.53503,637.555000-250.114-261.437-156.433-163.634-81.585-96.017-96.6-103.8-111.3-111.4-11.3-13.7-14.5-14.6-21-22.6-209.5-185.6-167.5
Totaal niet-vlottende verplichtingen 494.0078,848.1658,274.6977,478.5046,949.0246,602.2146,160.9275,973.4745,824.4785,506.3925,299.3565,116.242363.843357.593324.406332.141273.8783,932.446361.837338.634263.317250.1140152.6000000000014.600000
Totaal passiva 10,394.1138,848.1658,274.6977,478.5046,949.0246,602.2146,160.9275,973.4745,824.4785,506.3925,299.3565,116.2425,703.6244,627.1414,160.6634,211.3544,143.1084,080.7033,690.4783,412.4913,047.3822,674.1412,364.2332,093.1842,013.1061,937.5811,824.5851,740.91,715.41,676.41,537.51,416.41,167.2940.6890.5843.9748.7675.9572.6481.2
Eigen vermogen:
Preferente aandelen 020020020020000000000000000000000000000000000000
Gewone aandelen 0210.447209.694208.902208.066206.968205.697204.569203.241201.723199.896198.24196.388194.494192.725191.646190.527189.306183.124173.08584.93683.13581.56279.17777.56875.92974.83372.72835.82200000000000
Ingehouden winsten 3,139.4893,029.3962,749.7032,603.4722,271.5372,080.5291,858.4141,698.6131,568.8811,446.1921,313.441,202.0151,125.1541,167.2191,176.1551,138.9781,128.1491,105.946986.017847.687721.483612.208562.553536.188525.669514.477477.118439.811386.6347.3310.3287.5280.2240.9227.3208.2179.9149.211190.5
Overige gereserveerde algehele resultaten -336.845-373.001-498.042115.099220.18681.75-77.95620.17-15.95-9.42519.78824.85154.0442.2947.024-12.46-100.66686.043100.601118.121154.536148.452115.43498.03799.32576.694114.32389.05152.72800000000000
Overige totale aandeelhoudersvermogen 317.432-112.461-133.791-144.588-160.9-174.311-194.353-210.395-224.802-240.449-257.538-271.178-284.99-294.779-304.795-315.789-327.517-305.252-192.515-157.769-78.937-94.011-107.447-122.242-124.765-97.136-58.691-36.29-0.8589.418.935.331.529.12122.233.830.336.935.2
Totaal eigen vermogen van aandeelhouders 3,120.0762,954.3812,527.5642,982.8852,738.8892,194.9361,791.8021,712.9571,531.371,398.0411,275.5861,153.9281,090.5921,109.2281,071.1091,002.375890.4931,076.0431,077.227981.124882.018749.784652.102591.16577.797569.964607.583565.3474.3436.7329.2322.8311.7270248.3230.4213.7179.5147.9125.7
Totaal eigen vermogen 3,120.0762,954.3812,527.5642,982.8852,738.8892,194.9361,791.8021,712.9571,531.371,398.0411,275.5861,153.9281,090.5921,109.2281,071.1091,002.375890.4931,076.0431,077.227981.124882.018749.784652.102591.16577.797569.964607.583565.3474.3436.7329.2322.8311.7270248.3230.4213.7179.5147.9125.7
Totaal passiva en aandeelhoudersvermogen 13,514.18911,802.54610,802.26110,461.3899,687.9138,797.157,952.7297,686.4317,355.8486,904.4336,574.9426,270.176,794.2165,685.4695,231.7725,114.8274,941.3325,001.9924,767.7054,375.6253,912.4113,423.9253,016.3352,684.3442,590.9032,507.5452,432.1682,306.22,189.72,113.11,866.71,739.21,478.91,210.61,138.81,074.3962.4855.4720.5606.9