Selective Ins Group (SIGI)
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[[ session ]] by (Cboe BZX)
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Fiscal Year End Date: 12/31
(Values in U.S. thousands)
12-2023 | 12-2022 | 12-2021 | 12-2020 | 12-2019 | |
Assets | |||||
Total Investments | 8,693,729 | 7,837,469 | 8,026,988 | 7,505,599 | 6,688,654 |
Cash & Cash Equivalents | 13,272 | 25,209 | 45,063 | 15,231 | 7,975 |
Equity Investments | 187,155 | 162,000 | 335,537 | 310,367 | 72,937 |
Accrued Investment Income | 66,339 | 59,167 | 48,247 | 45,004 | 44,846 |
Premiums Receivable | 1,969,904 | 1,868,497 | 1,545,255 | 1,423,506 | 1,397,136 |
Deferred Policy Acquisition Costs | 424,864 | 368,624 | 326,915 | 288,578 | 271,186 |
Deferred Assets | 140,237 | 172,733 | N/A | N/A | 6,776 |
PPE Net | 83,272 | 84,306 | 82,053 | 77,696 | 77,409 |
Intangibles | 7,849 | 7,849 | 7,849 | 7,849 | 7,849 |
Other assets | 11,698,157 | 10,684,896 | 10,326,425 | 9,587,137 | 8,703,917 |
Total Assets | $11,802,550 | $10,802,260 | $10,461,390 | $9,687,913 | $8,797,150 |
Liabilities | |||||
Future Policy Benefits | 5,336,911 | 5,144,821 | 4,580,903 | 4,260,355 | 4,067,163 |
Unearned Premiums | 2,330,656 | 1,992,781 | 1,803,207 | 1,618,271 | 1,523,167 |
Long Term Debt | 503,946 | 504,676 | 506,050 | 550,743 | 550,597 |
Other liabilities | 8,344,219 | 7,770,021 | 6,972,454 | 6,398,281 | 6,051,617 |
Total Liabilities | $8,848,165 | $8,274,697 | $7,478,504 | $6,949,024 | $6,602,214 |
Shareholders' Equity | |||||
Shares Outstanding, K | 60,642 | 60,339 | 60,186 | 59,882 | 59,670 |
Preferred Shares | 200,000 | 200,000 | 200,000 | 200,000 | N/A |
Common Shares | 210,447 | 209,694 | 208,902 | 208,066 | 206,968 |
Additional Paid Capital | 522,748 | 493,488 | 464,347 | 438,985 | 418,521 |
Retained earnings | 3,029,396 | 2,749,703 | 2,603,472 | 2,271,537 | 2,080,529 |
Treasury Shares | 635,000 | 627,000 | 609,000 | 600,000 | 593,000 |
Other shareholders' equity | -373,210 | -498,321 | 115,164 | 220,301 | 81,918 |
TOTAL | $2,954,381 | $2,527,564 | $2,982,885 | $2,738,889 | $2,194,936 |
Total Liabilities And Equity | $11,802,546 | $10,802,261 | $10,461,389 | $9,687,913 | $8,797,150 |