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Asset logo for symbol SPNT
SiriusPoint Ltd.
SPNT62
$13.68arrow_drop_up0.95%$0.12
Asset logo for symbol SPNT
SPNT62

$13.68

arrow_drop_up0.95%

Income Statement (SPNT)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
EBIT-$34.40M-$24.80M-$5.10M$86.20M$88.80M
EBITDA-$31.40M-$21.90M-$2.20M$89.10M$91.70M
gross Profit$743.30M$9.80M$645.80M$767.90M$750.50M
NET Income$113.90M$94.80M$97.50M$105.90M$70.30M
total Revenue$743.30M$685.50M$645.80M$767.90M$750.50M

Balance Sheet (SPNT)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
cash Equivalents-----
net Debt-$50.00M-$315.80M-$315.10M$60.00M$89.70M
stockholders Equity$2.70B$2.60B$2.51B$2.25B$2.25B
total Assets$10.07B$10.40B$10.12B$12.59B$12.62B
total Debt$674.00M$770.60M$786.20M$763.50M$765.90M
total Liabilities$7.37B$7.78B$7.59B$10.32B$10.35B

Cash Flow (SPNT)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
financing Cash Flow-$226.40M$8.60M$13.60M-$24.00M-$11.70M
free Cash Flow-$152.30M$54.30M$213.40M$161.60M$112.10M
investing Cash Flow----$97.80M-$97.80M
operating Cash Flow-$152.30M$54.30M$213.40M$161.60M$112.10M

SiriusPoint Ltd. (SPNT) Financials

SiriusPoint Ltd. (SPNT) is a leading insurance and reinsurance company that provides a wide range of financial services to its clients. The company's income statement reflects its financial performance in terms of revenue, expenses, and net income. The income statement shows the company's earnings before interest and taxes (EBIT) and earnings before interest, taxes, depreciation, and amortization (EBITDA). These figures give an indication of the company's profitability and its ability to generate cash flow from its operations.
Gross profit is another important financial metric that measures the company's revenue minus its cost of goods sold. It shows the profitability of the company's core operations. Net income from stockholders refers to the earnings that are available to the company's shareholders after accounting for all expenses and taxes. It is a key measure of the company's profitability and financial health.
Total revenue represents the sum of all the company's earnings from its various business activities. It includes both the revenue generated from the company's insurance and reinsurance premiums, as well as any other sources of income. The balance sheet provides a snapshot of the company's financial position at a specific point in time. It shows the company's assets, liabilities, and stockholders' equity. Cash equivalents represent highly liquid assets that can be easily converted into cash, such as short-term investments.
Net debt is calculated by subtracting a company's cash and cash equivalents from its total debt. It reflects the company's ability to meet its financial obligations. Stockholders' equity represents the shareholders' ownership stake in the company. It is calculated by subtracting the company's total liabilities from its total assets. Total assets represent all the resources that the company owns, including cash, investments, property, and equipment.
Total debt includes both the short-term and long-term debt that the company owes to its creditors. It is an important measure of the company's financial leverage. Total liabilities represent all the financial obligations that the company has, including both its short-term and long-term liabilities. The cash flow statement shows the company's cash inflows and outflows from its operating, investing, and financing activities.
The financing cash flow section of the cash flow statement reflects the company's cash flows from its financing activities, such as issuing or repurchasing stocks and bonds. Free cash flow represents the cash that is available to the company after deducting its capital expenditures from its operating cash flow. It is a key measure of the company's ability to generate cash from its core operations. The investing cash flow section of the cash flow statement shows the company's cash flows from its investing activities, such as acquiring or selling assets or making investments.
The operating cash flow section of the cash flow statement reflects the company's cash flows from its operating activities, such as sales of its products and services. It is a key measure of the company's ability to generate cash from its core operations.
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