US Stock MarketDetailed Quotes

SKWD Skyward Specialty Insurance

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  • 37.580
  • +1.810+5.06%
Close May 3 16:00 ET
1.50BMarket Cap14.48P/E (TTM)

Skyward Specialty Insurance Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(FY)Dec 31, 2021
Assets
Total investments
29.68%1.67B
49.09%1.61B
49.09%1.61B
37.14%1.4B
--1.29B
--1.29B
14.01%1.08B
--1.08B
--1.02B
24.05%949.36M
-Fixed maturity investments
-11.44%42.7M
-18.07%42.99M
-18.07%42.99M
-14.31%44.44M
--47.17M
--48.22M
11.35%52.47M
--52.47M
--51.86M
65.95%47.12M
-Equity investments
164.34%632.43M
406.03%608.1M
406.03%608.1M
-72.41%223.21M
--252.71M
--239.25M
1.86%120.17M
--120.17M
--809.04M
-76.20%117.97M
-Net loan
4.66%44.31M
-3.45%50.07M
-3.45%50.07M
13.92%59.32M
--32.76M
--42.34M
75.61%51.86M
--51.86M
--52.07M
464.86%29.53M
-Investments in other ventures under equity method
--103.96M
----
----
----
----
----
----
----
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-Short term investments
-11.74%847.76M
9.51%798.03M
9.51%798.03M
918.84%1.07B
--958.16M
--960.49M
17.04%728.73M
--728.73M
--104.92M
163.87%622.63M
-Other invested assets
--2.05M
-11.33%114.51M
-11.33%114.51M
----
----
----
-2.25%129.14M
--129.14M
----
--132.11M
Cash and cash equivalents
106.45%85.06M
45.01%65.89M
45.01%65.89M
74.86%53.73M
--67.51M
--41.2M
7.91%45.44M
--45.44M
--30.73M
-33.64%42.11M
Restricted cash and cash equivalents
-52.83%30.21M
-56.71%34.45M
-56.71%34.45M
-34.27%49.54M
--34.35M
--64.05M
22.11%79.57M
--79.57M
--75.36M
29.90%65.17M
Receivables
18.15%885.45M
7.63%775.57M
7.63%775.57M
17.66%827.62M
--849.27M
--749.46M
11.12%720.57M
--720.57M
--703.39M
-0.72%648.49M
-Accounts receivable
18.15%885.45M
7.63%775.57M
7.63%775.57M
17.66%827.62M
--849.27M
--749.46M
11.12%720.57M
--720.57M
--703.39M
-0.72%648.49M
Prepaid assets
3.85%204.63M
18.06%186.12M
18.06%186.12M
15.61%218.78M
--267.67M
--197.04M
14.26%157.65M
--157.65M
--189.24M
-5.90%137.97M
Deferred policy acquisition costs
30.70%104.7M
33.39%91.96M
33.39%91.96M
34.33%99.26M
--93.36M
--80.1M
15.95%68.94M
--68.94M
--73.89M
11.09%59.46M
Net PPE
----
4.57%9.07M
4.57%9.07M
----
----
----
--8.67M
--8.67M
----
----
Goodwill and other intangible assets
-1.53%88.14M
-1.60%88.44M
-1.60%88.44M
-1.58%88.81M
--89.18M
--89.5M
-1.61%89.87M
--89.87M
--90.24M
8.72%91.34M
-Goodwill
----
0.00%65.73M
0.00%65.73M
----
----
----
--65.73M
--65.73M
----
----
-Other intangible assets
----
-5.95%22.7M
-5.95%22.7M
----
----
----
--24.14M
--24.14M
----
----
Other assets
16.37%92.06M
-10.65%66.27M
-10.65%66.27M
-4.32%82.08M
--83.01M
--79.11M
-18.19%74.17M
--74.17M
--85.79M
14.05%90.67M
Total assets
21.58%3.19B
24.96%2.95B
24.96%2.95B
23.49%2.85B
--2.81B
--2.62B
11.58%2.36B
--2.36B
--2.31B
8.70%2.12B
Liabilities
Policy holders liabilities reserve
19.37%2B
17.85%1.87B
17.85%1.87B
22.17%1.86B
--1.82B
--1.67B
17.98%1.58B
--1.58B
--1.53B
11.96%1.34B
Payables
9.35%247.2M
23.95%201.04M
23.95%201.04M
22.55%226.24M
--245.14M
--226.08M
0.94%162.2M
--162.2M
--184.61M
-2.23%160.68M
-Accounts payable
9.35%247.2M
23.95%201.04M
23.95%201.04M
22.55%226.24M
--245.14M
--226.08M
0.94%162.2M
--162.2M
--184.61M
-2.23%160.68M
Long term debt and capital lease obligation
-7.55%118.92M
0.06%128.69M
0.06%128.69M
0.06%128.67M
--128.65M
--128.63M
0.06%128.61M
--128.61M
--128.59M
0.06%128.53M
-Long term debt
-7.55%118.92M
0.06%128.69M
0.06%128.69M
0.06%128.67M
--128.65M
--128.63M
0.06%128.61M
--128.61M
--128.59M
0.06%128.53M
Non current deferred liabilities
0.58%41.06M
24.15%37.06M
24.15%37.06M
19.39%41.7M
--54.19M
--40.82M
-2.13%29.85M
--29.85M
--34.93M
-14.70%30.5M
Total deposits
100.80%88.86M
58.96%58.59M
58.96%58.59M
57.95%53.96M
--41.15M
--44.26M
24.57%36.86M
--36.86M
--34.16M
8.94%29.59M
Total liabilities
18.00%2.49B
18.06%2.29B
18.06%2.29B
21.31%2.32B
--2.28B
--2.11B
14.75%1.94B
--1.94B
--1.91B
2.84%1.69B
Shareholders'equity
Share capital
6.10%400K
112.23%399K
112.23%399K
100.53%377K
--377K
--377K
0.00%188K
--188K
--188K
11.90%188K
-common stock
6.10%400K
137.50%399K
137.50%399K
124.40%377K
--377K
--377K
0.00%168K
--168K
--168K
0.00%168K
-Preferred stock
----
--0
--0
--0
--0
--0
0.00%20K
--20K
--20K
--20K
Paid-in capital
10.90%711.31M
23.14%710.86M
23.14%710.86M
11.90%645.29M
--642.99M
--641.37M
0.37%577.29M
--577.29M
--576.69M
20.71%575.16M
Retained earnings
116.36%15.08M
79.41%-21.71M
79.41%-21.71M
59.49%-50.97M
---72.69M
---92.14M
27.20%-105.42M
---105.42M
---125.84M
20.92%-144.81M
Gains losses not affecting retained earnings
18.09%-29.28M
47.22%-22.95M
47.22%-22.95M
-21.14%-53.67M
---41.28M
---35.74M
-1,037.18%-43.49M
---43.49M
---44.31M
-62.02%4.64M
Less: Treasury stock
----
--0
--0
--0
--0
--0
0.00%2K
--2K
--2K
-50.00%2K
Other equity interest
22.09%-5.23M
19.52%-5.56M
19.52%-5.56M
18.62%-5.63M
---6.72M
---6.72M
23.99%-6.91M
---6.91M
---6.91M
-262.23%-9.09M
Total stockholders'equity
36.50%692.27M
56.77%661.03M
56.77%661.03M
33.91%535.4M
--522.68M
--507.15M
-1.04%421.66M
--421.66M
--399.82M
40.52%426.08M
Total equity
36.50%692.27M
56.77%661.03M
56.77%661.03M
33.91%535.4M
--522.68M
--507.15M
-1.04%421.66M
--421.66M
--399.82M
40.52%426.08M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
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(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(FY)Dec 31, 2021
Assets
Total investments 29.68%1.67B49.09%1.61B49.09%1.61B37.14%1.4B--1.29B--1.29B14.01%1.08B--1.08B--1.02B24.05%949.36M
-Fixed maturity investments -11.44%42.7M-18.07%42.99M-18.07%42.99M-14.31%44.44M--47.17M--48.22M11.35%52.47M--52.47M--51.86M65.95%47.12M
-Equity investments 164.34%632.43M406.03%608.1M406.03%608.1M-72.41%223.21M--252.71M--239.25M1.86%120.17M--120.17M--809.04M-76.20%117.97M
-Net loan 4.66%44.31M-3.45%50.07M-3.45%50.07M13.92%59.32M--32.76M--42.34M75.61%51.86M--51.86M--52.07M464.86%29.53M
-Investments in other ventures under equity method --103.96M------------------------------------
-Short term investments -11.74%847.76M9.51%798.03M9.51%798.03M918.84%1.07B--958.16M--960.49M17.04%728.73M--728.73M--104.92M163.87%622.63M
-Other invested assets --2.05M-11.33%114.51M-11.33%114.51M-------------2.25%129.14M--129.14M------132.11M
Cash and cash equivalents 106.45%85.06M45.01%65.89M45.01%65.89M74.86%53.73M--67.51M--41.2M7.91%45.44M--45.44M--30.73M-33.64%42.11M
Restricted cash and cash equivalents -52.83%30.21M-56.71%34.45M-56.71%34.45M-34.27%49.54M--34.35M--64.05M22.11%79.57M--79.57M--75.36M29.90%65.17M
Receivables 18.15%885.45M7.63%775.57M7.63%775.57M17.66%827.62M--849.27M--749.46M11.12%720.57M--720.57M--703.39M-0.72%648.49M
-Accounts receivable 18.15%885.45M7.63%775.57M7.63%775.57M17.66%827.62M--849.27M--749.46M11.12%720.57M--720.57M--703.39M-0.72%648.49M
Prepaid assets 3.85%204.63M18.06%186.12M18.06%186.12M15.61%218.78M--267.67M--197.04M14.26%157.65M--157.65M--189.24M-5.90%137.97M
Deferred policy acquisition costs 30.70%104.7M33.39%91.96M33.39%91.96M34.33%99.26M--93.36M--80.1M15.95%68.94M--68.94M--73.89M11.09%59.46M
Net PPE ----4.57%9.07M4.57%9.07M--------------8.67M--8.67M--------
Goodwill and other intangible assets -1.53%88.14M-1.60%88.44M-1.60%88.44M-1.58%88.81M--89.18M--89.5M-1.61%89.87M--89.87M--90.24M8.72%91.34M
-Goodwill ----0.00%65.73M0.00%65.73M--------------65.73M--65.73M--------
-Other intangible assets -----5.95%22.7M-5.95%22.7M--------------24.14M--24.14M--------
Other assets 16.37%92.06M-10.65%66.27M-10.65%66.27M-4.32%82.08M--83.01M--79.11M-18.19%74.17M--74.17M--85.79M14.05%90.67M
Total assets 21.58%3.19B24.96%2.95B24.96%2.95B23.49%2.85B--2.81B--2.62B11.58%2.36B--2.36B--2.31B8.70%2.12B
Liabilities
Policy holders liabilities reserve 19.37%2B17.85%1.87B17.85%1.87B22.17%1.86B--1.82B--1.67B17.98%1.58B--1.58B--1.53B11.96%1.34B
Payables 9.35%247.2M23.95%201.04M23.95%201.04M22.55%226.24M--245.14M--226.08M0.94%162.2M--162.2M--184.61M-2.23%160.68M
-Accounts payable 9.35%247.2M23.95%201.04M23.95%201.04M22.55%226.24M--245.14M--226.08M0.94%162.2M--162.2M--184.61M-2.23%160.68M
Long term debt and capital lease obligation -7.55%118.92M0.06%128.69M0.06%128.69M0.06%128.67M--128.65M--128.63M0.06%128.61M--128.61M--128.59M0.06%128.53M
-Long term debt -7.55%118.92M0.06%128.69M0.06%128.69M0.06%128.67M--128.65M--128.63M0.06%128.61M--128.61M--128.59M0.06%128.53M
Non current deferred liabilities 0.58%41.06M24.15%37.06M24.15%37.06M19.39%41.7M--54.19M--40.82M-2.13%29.85M--29.85M--34.93M-14.70%30.5M
Total deposits 100.80%88.86M58.96%58.59M58.96%58.59M57.95%53.96M--41.15M--44.26M24.57%36.86M--36.86M--34.16M8.94%29.59M
Total liabilities 18.00%2.49B18.06%2.29B18.06%2.29B21.31%2.32B--2.28B--2.11B14.75%1.94B--1.94B--1.91B2.84%1.69B
Shareholders'equity
Share capital 6.10%400K112.23%399K112.23%399K100.53%377K--377K--377K0.00%188K--188K--188K11.90%188K
-common stock 6.10%400K137.50%399K137.50%399K124.40%377K--377K--377K0.00%168K--168K--168K0.00%168K
-Preferred stock ------0--0--0--0--00.00%20K--20K--20K--20K
Paid-in capital 10.90%711.31M23.14%710.86M23.14%710.86M11.90%645.29M--642.99M--641.37M0.37%577.29M--577.29M--576.69M20.71%575.16M
Retained earnings 116.36%15.08M79.41%-21.71M79.41%-21.71M59.49%-50.97M---72.69M---92.14M27.20%-105.42M---105.42M---125.84M20.92%-144.81M
Gains losses not affecting retained earnings 18.09%-29.28M47.22%-22.95M47.22%-22.95M-21.14%-53.67M---41.28M---35.74M-1,037.18%-43.49M---43.49M---44.31M-62.02%4.64M
Less: Treasury stock ------0--0--0--0--00.00%2K--2K--2K-50.00%2K
Other equity interest 22.09%-5.23M19.52%-5.56M19.52%-5.56M18.62%-5.63M---6.72M---6.72M23.99%-6.91M---6.91M---6.91M-262.23%-9.09M
Total stockholders'equity 36.50%692.27M56.77%661.03M56.77%661.03M33.91%535.4M--522.68M--507.15M-1.04%421.66M--421.66M--399.82M40.52%426.08M
Total equity 36.50%692.27M56.77%661.03M56.77%661.03M33.91%535.4M--522.68M--507.15M-1.04%421.66M--421.66M--399.82M40.52%426.08M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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