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SIGISelective Insurance Group, Inc.
$98.27$5.9B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
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HomeStocksSIGIQuarterly Balance Sheet

Selective Insurance Group, Inc. (SIGI) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Selective Insurance Group, Inc. (SIGI) quarterly balance sheet — complete assets, liabilities & equity history

SIGI Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Total Assets15.32B15.16B14.98B14.47B14.2B13.51B13.47B12.57B12.06B11.8B11.43B11.22B11.02B10.8B10.52B10.32B10.31B10.46B10.44B10.17B
Asset Growth %7.92%12.15%11.19%15.14%17.76%14.5%17.9%12.02%9.45%9.26%8.63%8.72%6.83%3.26%0.75%1.47%4.69%7.98%9.75%9.26%
Total Investment Assets1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Long-Term Investments11.39B10.06B10.27B9.75B1.69B8.88B8.88B8.3B7.92B8.02B7.45B7.5B7.42B7.25B6.96B7.02B7.23B7.52B7.38B7.35B
Short-Term Investments9.73B9.46B1.15B8.88B8.61B1.1B1.19B1.01B830.05M7.81B743.5M7.35B7.27B7.05B6.74B6.73B6.86B7.16B7.03B6.98B
Total Current Assets11.31B10.99B3.99B10.54B10.15B002.71B124K0109K000000000
Cash & Equivalents200K300K430K357K124K91K98K160K124K180K109K354K149K26K538K401K410K455K477K450K
Receivables1.58B1.53B2.56B2.56B1.54B2.53B2.6B1.58B2.09B1.97B2.02B1.99B1.88B1.87B1.91B1.76B1.64B1.59B1.72B1.63B
Other Current Assets000-894.58M0-3.87B-4.02B-98.14M-2.92B-9.98B-2.76B-9.54B-9.32B-9.1B-8.83B-8.66B-8.67B-8.94B-8.94B-8.79B
Goodwill & Intangibles7.8M500.12M7.85M7.8M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M
Goodwill7.8M7.85M7.85M7.8M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M7.85M
Intangible Assets0492.27M000000000000000000
PP&E (Net)109.9M106.4M102.42M100M100.1M93.3M92.19M89.2M82.7M83.27M81.37M81.25M83.37M84.31M85.33M83.37M83.18M82.05M75.01M75.14M
Other Assets-11.39B-10.55B0-9.87B-1.69B-8.98B-8.98B412.35M3.91B-8.11B3.69B-7.59B-7.52B-7.34B-7.05B-7.11B-7.32B-7.61B-7.47B-7.44B
Total Liabilities11.73B11.55B11.49B11.1B10.94B10.39B10.31B9.64B9.05B8.85B8.78B8.55B8.35B8.27B8.09B7.72B7.53B7.48B7.52B7.28B
Total Debt901.4M901.9M902.32M902.7M903.23M507.94M508.24M508.8M501.4M506.58M504.59M503.62M504.15M504.68M505.15M505.07M505.57M506.05M500.9M550.88M
Net Debt901.2M901.6M901.89M902.39M903.11M507.85M508.14M508.64M503.18M506.4M504.48M503.27M504M504.65M504.61M504.67M505.16M505.6M500.43M550.43M
Long-Term Debt901.4M901.9M898.09M897.8M897.65M501.66M501.57M501.48M501.4M503.95M501.22M501.13M501.05M500.96M500.87M500.78M500.69M500.6M500.51M550.42M
Short-Term Debt00000000000000000000
Total Current Liabilities44.8M16.9M567K13.2M56.15M005.31B97.92M0114.24M000000000
Accounts Payable00000000000000000000
Deferred Revenue2.49B0000000000000000000
Other Current Liabilities-2.44B-123.9M-131.26M-94.52M0-141.37M-113.47M5.22B-26.53M-128.25M-2.54M-94.55M-109.07M-115.19M-112.23M-102.53M-107.06M-121.06M-113.71M-110.83M
Deferred Taxes0000000000000000013.41M3.21M10.88M
Other Liabilities10.79B10.63B-902.32M-902.7M9.98B-507.94M-508.24M9.1B8.52B-506.58M8.28B-503.62M-504.15M-504.68M-505.15M-505.07M-505.57M-519.46M-504.12M-561.76M
Total Equity3.59B3.61B3.49B3.37B3.26B3.12B3.17B2.92B3.01B2.95B2.64B2.67B2.67B2.53B2.43B2.59B2.78B2.98B2.92B2.89B
Equity Growth %10.09%15.67%10.17%15.28%8.38%5.61%19.79%9.41%12.63%16.89%8.93%2.98%-3.92%-15.26%-16.92%-10.28%1.25%8.91%22.08%25.78%
Shareholders Equity3.59B3.61B3.49B3.37B3.26B3.12B3.17B2.92B3.01B2.95B2.64B2.67B2.67B2.53B2.43B2.59B2.78B2.98B2.92B2.89B
Minority Interest00000000000000000000
Retained Earnings3.57B3.5B3.37B3.28B3.22B3.14B3.07B3B3.09B3.03B2.93B2.86B2.82B2.75B2.68B2.66B2.64B2.6B2.52B2.47B
Common Stock212.4M212M211.88M211.8M211.67M211.22M211.11M211.03M210.9M210.45M210.34M210.3M210.15M209.69M209.56M209.51M209.34M208.9M208.78M208.74M
Accumulated OCI-222.6M-151.7M-167.32M-230.6M-272.07M-336.85M-211.88M-392.72M-384.97M-373M-575.87M-475.72M-430.35M-498.04M-525.01M-336.37M-129.79M115.1M140.22M169.37M
Return on Equity (ROE)2.72%4.37%3.36%2.59%3.45%3.04%3.03%-2.14%2.77%4.46%3.36%2.19%3.56%3.49%1.69%1.47%1.96%3.35%2.54%4.33%
Return on Assets (ROA)0.64%1.03%0.78%0.6%0.79%0.71%0.71%-0.51%0.69%1.07%0.79%0.53%0.85%0.81%0.41%0.38%0.54%0.95%0.72%1.22%
Equity / Assets23.41%23.81%23.3%23.29%22.95%23.09%23.51%23.26%24.94%25.03%23.14%23.82%24.23%23.4%23.07%25.14%26.95%28.51%27.98%28.44%
Debt / Equity0.25x0.25x0.26x0.27x0.28x0.16x0.16x0.17x0.17x0.17x0.19x0.19x0.19x0.20x0.21x0.19x0.18x0.17x0.17x0.19x
Book Value per Share59.3059.4657.2154.9653.1650.9051.6847.9949.1248.4343.3443.8443.8341.5039.9042.6345.6849.0648.2347.80
Tangible BV per Share59.1751.2257.0854.8453.0350.7751.5547.8748.9948.3043.2143.7143.7041.3739.7742.5045.5548.9348.1047.67