SelectQuote, Inc.

NYSE:SLQT

2.22 (USD) • At close June 20, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2025 Q32025 Q22025 Q12024 Q42024 Q32024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q1
Assets:
Current Assets:
Cash & Cash Equivalents 84.79512.10410.44442.6937.80810.84948.48683.15692.04836.09771.083140.997199.359193.357183.618286.454369.048209.739305.389321.065157.9614.987-0.570.57-0.958
Short Term Investments 0005.0278.336.66800000000000000001.1401.916
Cash and Short Term Investments 84.79512.10410.44442.6937.80810.84948.48683.15692.04836.09771.083140.997199.359193.357183.618286.454369.048209.739305.389321.065157.9614.9870.570.570.958
Net Receivables 260.205340.582276.294270.893322.248349.869276.242265.713280.217354.902292.943246.025245.893351.688252.155202.495217.418223.254125.594134.843123.585116.568095.9370
Inventory 0008.758-8.3-10.705.5670005.7540000.176036.16841.98247.80554.66762.882000
Other Current Assets 15.21619.68620.14410.58224.11527.116.3618.78811.50413.38414.2599.99713.24610.5117.9174.314.95843.55149.5157.92679.2234.76806.450
Total Current Assets 360.216372.372306.882332.923384.171387.818341.089363.224383.769404.383378.285402.773458.498555.556443.69493.435591.424476.544480.493513.834341.102199.2050.57102.9570.958
Non-Current Assets:
Property, Plant & Equipment, Net 40.2138.25940.78242.4141.87745.42447.61951.01557.91362.07166.44369.8274.57673.24769.07260.92453.69253.69454.67722.1520.01719.551013.7590
Goodwill 29.43829.43829.43829.43829.13629.13629.13629.13629.13629.13629.13629.13673.73273.73273.73268.01949.95546.45646.45646.5775.3645.36405.3640
Intangible Assets 7.0988.139.16224.17221.87823.11224.11924.9443.14644.5146.15347.55651.5852.73653.69653.28152.95128.128.15928.0727.8396.73204.8950
Goodwill and Intangible Assets 36.53651.69538.653.6151.01452.24853.25554.07672.28273.64675.28976.692125.312126.468127.428121.3102.90674.55674.61574.64913.20312.096010.2590
Long Term Investments 000723.968763.958710.411683.236-39.5810733.337704.673737.568-76.806606.574623.009615.789545.7524.707398.035-105.84400000
Tax Assets 00037.47835.05736.66826.04139.581046.89637.66750.0876.80676.942125.181140.988138.87131.121104.547105.84400000
Other Non-Current Assets 858.871830.968760.6073.519-30.9383.3518.904750.936773.992-22.42-13.043-46.881776.9286.0461.3621.4361.5221.4271.438357.316416.339386.718-0.57279.965-0.958
Total Non-Current Assets 935.617906.795839.989860.985860.968848.101829.055856.027904.187893.53871.029887.279976.816889.277946.052940.437842.69785.505633.312559.959449.559418.365-0.57303.983-0.958
Total Assets 1,295.8331,279.1671,146.8711,193.9081,245.1391,235.9191,170.1441,219.2511,287.9561,297.9131,249.3141,290.0521,435.3141,444.8331,389.7421,433.8721,434.1141,262.0491,113.8051,073.793790.661617.570406.940
Liabilities & Equity:
Current Liabilities:
Account Payables 77.71387.16551.10836.58761.16857.39231.96427.57731.60827.35620.55724.76627.44547.57928.49534.07935.46732.4210.18422.891-5.665-5.07207.6340
Short Term Debt 33.83832.55852.81850.69347.04353.03243.84339.18531.3734.09829.87712.56617.53117.67114.257.8375.3327.0686.8620.0495.6655.07203.9530
Tax Payables 0000000000000000000000000
Deferred Revenue 00.9542.95212.7193.6559.0925.7571.6919.71738.75241.8478.029066.28866.4845.0864.78350.60239.197-1.6691.6273.84802.0250
Other Current Liabilities 4.43973.72359.86774.58878.10564.45655.18270.49573.82963.94952.97468.15278.7270.15785.74761.82174.45101.53190.99772.87155.41840.744019.610
Total Current Liabilities 193.703194.4166.745174.587189.971183.972136.746137.257146.524164.155145.255113.513123.696135.407128.492108.817115.249141.019108.04395.81157.04544.592033.2220
Non-Current Liabilities:
Long Term Debt 26.183707.823661.715663.231670.657676.017687.775692.615697.635701.868705.93732.498734.687737.301495.838497.462498.406350.327350.223311.814429.814429.776021.7260
Deferred Revenue Non-Current 000022.3260000000076.942125.1810000010.21-0.082000
Deferred Tax Liabilities Non-Current 39.9831.86846.01837.47835.05736.66826.04139.58149.13446.89637.66750.0876.80676.942125.181140.988138.87131.121104.547105.844100.36993.011081.2520
Other Non-Current Liabilities 478.14219.0742.9541.8112.6492.7452.84442.4093.2443.2293.76452.9363.5332.7796.446152.70411.0745.4476.01814.6350.22610.47507.4880
Total Non-Current Liabilities 544.305758.765710.687702.52708.363715.43716.66735.024750.013751.993747.361785.434815.026817.022627.465650.166648.35486.895460.788432.293540.619533.2620110.4660
Total Liabilities 738.008953.165877.432877.107898.334899.402853.406872.281896.537916.148892.616898.947938.722952.429755.957758.983763.599627.914568.831528.104597.664577.8540143.6880
Equity:
Preferred Stock 207.61300000000000000000000.6020.7970.7970.7970.797
Common Stock 1.7271.7211.7151.6941.6921.691.6771.6691.6671.6651.6651.6441.6441.641.6391.6351.6341.6281.6251.6221.4381.19901.1530
Retained Earnings -235.057-261.079-314.315-269.769-238.752-247.303-266.695-235.644-187.806-197.07-219.584-177.1-68.684-62.23682.889128.254124.94288.461-1.955-2.792-22.84130.4870200.4460
Accumulated Other Comprehensive Income/Loss 001.3274.1126.4768.24711.66913.67913.07415.73516.11611.7169.5871.9980.2230.2290.415-1.395-1.511-1.254-12.891-11.545262.4550187.129
Other Total Stockholders Equity 583.542585.36580.712580.764577.389573.883570.087567.266564.484561.435558.501554.845554.045551.002549.034544.771543.524545.441546.815548.113227.2917.233061.1030
Total Shareholders Equity 350.212326.002269.439316.801346.805336.517316.738346.97391.419381.765356.698391.105496.592492.404633.785674.889670.515634.135544.974545.689192.99739.716263.252263.252187.926
Total Equity 0326.002269.439316.801346.805336.517316.738346.97391.419381.765356.698391.105496.592492.404633.785674.889670.515634.135544.974545.689192.99739.716263.252263.252187.926
Total Liabilities & Shareholders Equity 1,088.221,279.1671,146.8711,193.9081,245.1391,235.9191,170.1441,219.2511,287.9561,297.9131,249.3141,290.0521,435.3141,444.8331,389.7421,433.8721,434.1141,262.0491,113.8051,073.793790.661617.57263.252406.94187.926