Selective Insurance Group, Inc.

NASDAQ:SIGI

89.66 (USD) • At close April 17, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 207.012365.238224.886403.837246.355271.623178.939168.826158.495165.861141.827106.41837.96319.86569.32136.39843.758146.498163.574147.452128.63966.34441.1425.69326.53553.71753.669.655.65338.322.727.427.332.440.6
Afschrijvingen & Amortisatie 34.830.0442.33655.10959.3555.20544.87452.161.67159.68845.34643.46138.69334.64531.7728.59328.55229.13925.68421.3816.72816.20111.95115.25115.24713.0449.38.165.55.86.564.93.73.5
Uitgestelde Inkomstenbelasting 000000000000007.312-9.057-26.6653.214-3.833-4.7980000000000000000
Aandelen Gebaseerde Vergoedingen 22.76318.34618.42815.89316.22719.07719.331.230.323.818.619.96.9397.42212.35511.03617.21520.99214.52400000000000000000
Verandering in Werkkapitaal 833.058342.769371.541209.177236.81155.93686.56946.169-5.22753.3417.75108.212150.44160.7750.37675.10314.115214.636232.416250.431-47.263-35.446-45.6887.522-42.564-9.716-49.724-71.99516.55-16.9-16.3-14.7-14.310.8-2-23.7
Vorderingen 0000000000000032.47239.65615.4690240.44800-56.80838.27829.027-34.548-21.888-37.5-44.813.2-8.8-9.9-14.9214.5-6.1-8.3
Voorraden 000000000000000000000000000000000000
Crediteuren 0000000000000000000314.688035.8087.133000000001.2003.8-5.7
Overig Werkkapitaal 833.058342.769371.541209.177236.81155.93686.56946.169-5.22753.3417.75108.212150.44160.7717.90435.447-1.354214.636-8.032-64.257-47.263-14.446-91.099-21.505-8.01612.172-12.224-27.1953.35-8.1-6.4-1-16.3-3.70.3-9.7
Overige Niet-Contante Posten 2.2552.515145.21887.406-4.697-24.346125.26281.2584.2778.8919.2458.133-7.3370.255-11.94985.486164.198-28.191-39.31-7.627268.963234.819172.6544.21765.056.76243.4545.22612.705133.191.666.886.84946.982.9
Kasstroom uit Operationele Activiteiten 1,099.888758.908802.409771.422554.045477.495454.944379.545329.509381.58232.763336.124226.699122.957159.185227.559241.173386.288393.055406.838367.067281.918180.05752.68364.26863.80756.62650.93190.855174.7119.481.3105.99281103.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -30.81-22.631-26.019-22.163-22.064-30.986-16.11-14.071-18.147-16.229-15.51-14.023-12.879-11.824-6.522-8.207-8.083-14.511-18.67-9.558-11.756-9.751-11.775-6.824-12.003-10.908-11.16-4.055-4.588-3-4.3-3.6-2.6-5.2-2.9-5.7
Netto Overnames 000000000001.2251.006-50.5760.978-12.538-0.9800.37614.785-0.407-0.80412.21-0.097-5.996-29.2830000000000
Aankoop van Beleggingen -9,901.638-7,040.532-7,262.248-6,700.629-7,796.954-8,055.339-7,348.009-6,528.676-5,587.292-2,855.449-2,450.375-3,253.367-2,717.425-2,103.179-2,841.282-3,252.021-2,915.277-3,007.942-3,216.499-862.283-787.099-678.342-677.452-390.18-187.475-329.342-258.056-240.857-269.714-293.9-401.5-284.8-207.2-280.8-130.3-119.7
Verkoop/verval van Beleggingen 10,600.6066,405.1826,588.6666,136.0057,152.2657,522.7216,900.0526,188.2465,260.5012,447.6782,267.6432,863.1012,501.7852,022.0722,723.2993,052.5692,776.2882,858.352,893.45291.53495.543431.557400.326282.649207.863358.37268.085190.793194.06150.4248.5198.6141.9192.2101.452.6
Overige Investeringsactiviteiten -1,615.539-28.374-34.846-31.993-21.42119.98128.37921.84324.20232.45728.77412.03924.8010015.0370.980-0.376191.25402.474-3.7814.8-2.304-13.4148.6554.553-1.377-0.7-17.43.2-290-14.1-9.7
Kasstroom uit Investeringsactiviteiten -947.381-686.355-734.447-618.78-688.174-543.623-435.688-332.658-320.736-391.543-169.468-391.025-202.712-143.507-123.527-205.16-147.072-164.103-341.719-374.272-303.719-254.866-280.472-109.6520.085-24.5777.524-49.566-81.619-147.2-174.7-86.6-96.9-93.8-45.9-82.5
Financieringsactiviteiten:
Schuldaflossingen -2.629-2.666-2.438-51.768-0.55104.78-5.646-4.12144.99810.311-15.84177.352045-12.3-12.3-21.054-55.75677.96375.3125.88-24105.607-7.14337.13815.872-0.2117.4-7.1054050-0.6-14.213.6
Uitgifte van Gewone Aandelen 9.639.1339.0867.9768.4118.2437.2527.5997.81110.0897.2837.1194.845.0114.9624.6128.2228.60911.560.06600.0550.12915.60446.6399.06616.47913.487.12.32.31.310.91
Terugkoop van Gewone Aandelen -15.62-7.93-18.344-9.05-7.053-8.164-6.556-6.015-4.992-4.182-3.563-3.716-3.495-2.741-1.686-3.01-46.833-152.118-116.354-22.885-8.73-2.497-3.011-10.732-37.677-45.885-38.205-9.1-4.3-0.3-0.1-0.8-0.300-23.3
Uitgekeerde Dividenden -9.2-83.027-76.12-69.489-54.486-47.675-42.097-37.045-33.758-31.052-28.428-27.416-26.944-26.513-26.056-26.296-25.804-24.464-22.831-19.908-17.331-16.689-15.604-15.174-15.343-16.358-16.263-16.398-16.268-16-15.5-15.3-14.7-13.7-13.3-12.3
Overige Financieringsactiviteiten -90.92600-0.479195.0630001.8191.7361.021.5451.06-0.09-0.74411.81.6283.4841.78615.70212.43512.20613.772-3.803-47.838-3.366-0.913-12.891-2.95-1.70.1-1.81.20.2-16
Kasstroom uit Financieringsactiviteiten -102.755-84.49-87.816-122.81141.38557.184-47.047-39.58215.878-13.098-39.52954.884-24.53920.667-35.824-25.194-83.841-220.245-47.87648.28512.254-30.925100.893-21.248-17.081-40.671-39.112-7.589-22.618-10.940.8-15.637.5-13.1-27.6-15
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000-27.555.35.3-91.8-35.1-20.8
Netto Kasstroomverandering 49.752-11.937-19.85429.8327.256-8.944-27.7917.30536.507-23.06123.766-0.017-0.5520.117-0.166-2.79510.261.943.4680.85175.602-3.8730.478-78.21747.272-1.44125.038-6.224-13.382-10.940.8-15.637.5-13.1-27.6-15
Kaspositie aan het Einde van de Periode 63.02413.27225.20945.06315.2317.97516.91944.7137.4050.89823.9590.1930.210.7620.6450.81118.6438.3836.4432.98398.65723.05526.92826.45104.66757.39558.83633.79833.92419.78650.557.121.4-0.66.3