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SKWDSkyward Specialty Insurance Group, Inc.
$62.41$2.5B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksSKWDQuarterly Balance Sheet

Skyward Specialty Insurance Group, Inc. (SKWD) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Skyward Specialty Insurance Group, Inc. (SKWD) quarterly balance sheet — complete assets, liabilities & equity history

SKWD 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 Assets6.55B4.79B4.59B4.34B4.03B3.73B3.6B3.44B3.19B2.95B2.85B2.81B2.62B2.36B2.31B1.54B1.48B2.12B529.55M529.55M
Asset Growth %62.44%28.49%27.65%26.22%26.47%26.28%26.25%22.38%21.58%24.96%23.49%82.08%77.42%11.58%335.92%191.14%179.01%334.81%8.7%8.7%
Total Investment Assets1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Long-Term Investments1.28B917.41M914.59M893.64M864.84M1.81B917.72M1.72B1.63B1.56B1.34B1.26B1.25B901.37M965.81M93.31M91.71M787.72M00
Short-Term Investments2.2B1.38B1.32B1.19B1.13B1.05B972.36M888.51M847.76M1.29B1.07B958.16M960.49M728.73M104.92M00622.63M41.07M41.07M
Total Current Assets3.28B3.49B2.55B002.56B2.37B485.6M0000000441.08M457.05M0213.72M213.72M
Cash & Equivalents255.91M168.54M160.07M136.62M112.92M121.6M105.57M72.99M85.06M65.89M53.73M67.51M41.2M45.44M30.73M31.34M26.17M42.11M10.53M10.53M
Receivables830.51M1.66B1.51B1.44B1.32B1.18B1.01B1.05B885.45M775.57M827.62M849.27M749.46M720.57M703.39M180.14M180.14M648.49M162.12M162.12M
Other Current Assets-314.85M30.57M-713.74M-3.06B-2.79B35.92M45.78M-1.78B-2.02B-2.32B-2.17B-2.14B-1.95B-1.65B-1.03B441.08M457.05M-1.45B00
Goodwill & Intangibles473.32M224.14M88.42M88.8M87.09M87.35M87.61M87.87M192.83M88.44M88.81M89.18M89.5M89.87M90.24M161.9M155.14M91.34M22.83M22.83M
Goodwill065.73M00065.73M00065.73M00065.73M00065.73M16.43M16.43M
Intangible Assets473.32M158.41M88.42M88.8M87.09M21.61M87.61M87.87M192.83M22.7M88.81M89.18M89.5M24.14M90.24M161.9M155.14M25.6M6.4M6.4M
PP&E (Net)015.14M00015.31M0009.07M0008.67M0686.8M09.63M2.41M2.41M
Other Assets-1.28B122.03M-914.59M3.35B3.08B-742.96M218.96M1.63B1.37B1.3B-1.43B-1.35B-1.34B-999.91M-1.06B122.23M773.58M-888.68M-25.24M-25.24M
Total Liabilities5.32B3.78B3.63B3.44B3.18B2.94B2.8B2.71B2.49B2.29B2.32B2.28B2.11B1.94B1.91B1.12B1.04B1.69B423.03M423.03M
Total Debt486M119.98M119.56M119.55M119.55M119.54M118.96M118.94M118.92M128.69M128.67M128.65M128.63M128.61M128.59M128.57M128.55M128.53M32.13M32.13M
Net Debt230.09M-48.56M-40.51M-17.06M6.63M-2.07M13.38M45.95M33.86M62.8M74.94M61.14M87.43M83.17M97.86M30.8M30.8M86.42M21.61M21.61M
Long-Term Debt486M119.98M119.56M76.55M76.55M76.54M118.96M118.94M118.92M128.69M128.67M128.65M128.63M128.61M128.59M128.57M128.55M128.53M32.13M32.13M
Short-Term Debt409.42M043M43M43M43M00050M0000000000
Total Current Liabilities03.66B000398.94M2.68B00000000614.13M593.48M040.17M40.17M
Accounts Payable628.15M394.92M391.32M401.78M321.24M253.28M273.97M267.43M247.2M201.04M226.24M245.14M226.08M162.19M184.61M00160.68M40.17M0
Deferred Revenue0774.03M0000692.45M0000000000000
Other Current Liabilities-1.04B2.49B-434.32M-444.78M-364.24M102.67M1.72B-267.43M-247.2M-251.04M-226.24M-245.14M-226.08M-162.19M-184.61M412.88M373.38M-160.68M-40.17M-40.17M
Deferred Taxes68.47M00000000000000104.45M37.96M000
Other Liabilities3.05B-46.45M2.24B3.32B3.06B2.42B1.69B1.6B2.38B2.16B-170.37M-182.84M-169.45M-158.46M-163.52M334.1M284.58M-159.03M-39.76M-39.76M
Total Equity1.22B1.01B961.42M899.91M850.72M794M797.51M723.62M692.27M661.03M535.4M522.68M507.15M421.66M399.82M426.55M435.58M426.08M106.52M106.52M
Equity Growth %43.98%27.15%20.55%24.36%22.89%20.12%48.96%38.44%36.5%56.77%33.91%22.54%16.43%-1.04%275.34%300.44%308.92%462.07%40.52%40.52%
Shareholders Equity1.22B1.01B961.42M899.91M850.72M794M797.51M723.62M692.27M661.03M535.4M522.68M507.15M421.66M399.82M426.55M435.58M426.08M106.52M106.52M
Minority Interest00000000000000000000
Retained Earnings316.88M267.15M223.92M178.02M139.18M97.12M82.71M46.05M15.08M-21.71M-50.97M-72.69M-92.14M-105.42M-125.84M-123.44M-128.5M-144.81M-36.2M-36.2M
Common Stock484K405K405K405K404K401K401K401K400K399K377K377K377K168K168K671K671K168K42K42K
Accumulated OCI-6.13M11.46M9.54M-2.67M-10.05M-22.12M-1.7M-31.14M-34.51M-22.95M-53.67M-41.28M-35.74M-43.48M-44.31M-26.53M-11.76M4.64M00
Return on Equity (ROE)4.45%4.39%4.93%4.44%5.11%1.81%4.82%4.37%5.44%4.89%4.1%3.78%3.35%4.97%-0.58%1.18%3.79%0.49%9.35%5.9%
Return on Assets (ROA)0.88%0.92%1.03%0.93%1.08%0.39%1.04%0.94%1.2%1.01%0.77%0.72%0.62%0.87%-0.12%0.34%0.91%0.1%1.88%1.19%
Equity / Assets18.71%21.07%20.93%20.75%21.11%21.29%22.16%21.06%21.72%22.38%18.78%18.62%19.35%17.84%17.32%27.67%29.48%20.12%20.12%20.12%
Debt / Equity0.40x0.12x0.12x0.13x0.14x0.15x0.15x0.16x0.17x0.19x0.24x0.25x0.25x0.31x0.32x0.30x0.30x0.30x0.30x0.30x
Book Value per Share29.2524.1122.9621.4920.5619.0819.2517.5816.8516.7013.9413.7013.7211.2110.6311.3411.5811.752.943.28
Tangible BV per Share17.9518.7620.8519.3718.4616.9817.1415.4412.1614.4711.6311.3611.308.828.237.047.469.232.312.58