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18 Followers
USX:KNSL - Kinsale Capital Group Inc
Kinsale Capital Group Inc
Sector:
Financials
, Industry:
Property & Casualty Insurance
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Yahoo Finance
Summary
Financials
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Quarterly
Annual
TTM
Balance Sheet
Cash Flow
Income Statement
Key Ratios
Personalized
Adjust Display Metrics
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Show %
2015 Q1
2015 Q2
2015 Q3
2015 Q4
2016 Q1
2016 Q2
2016 Q3
2016 Q4
2017 Q1
2017 Q2
2017 Q3
2017 Q4
2018 Q1
2018 Q2
2018 Q3
2018 Q4
2019 Q1
2019 Q2
2019 Q3
2019 Q4
2020 Q1
2020 Q2
2020 Q3
2020 Q4
2021 Q1
2021 Q2
2021 Q3
2021 Q4
2022 Q1
2022 Q2
2022 Q3
2022 Q4
2023 Q1
2023 Q2
2023 Q3
2023 Q4
2024 Q1
Graph
Insider Holdings (%)
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[friend]
[friend]
[friend]
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[friend]
[friend]
[friend]
[friend]
6.09%
-9.3%
6.07%
-0.4%
6.02%
-0.7%
6.06%
0.6%
5.65%
-6.9%
5.65%
0.0%
5.59%
-1.0%
5.64%
1.0%
5.5%
-2.5%
5.47%
-0.6%
5.47%
0%
-
Net Margin
[friend]
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
23.29%
0.4%
22.21%
-4.6%
24.49%
10.3%
17.63%
-28.0%
14.73%
-16.4%
14.85%
0.8%
27.09%
82.4%
21.2%
-21.7%
24.61%
16.1%
24.21%
-1.6%
29.44%
21.6%
26.54%
-9.9%
Gross Margin
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-
-
-
-
-
-
-
-
-
-
-
-
Operating Margin
[friend]
[friend]
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
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[friend]
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[friend]
-
-
-
-
-
-
-
-
-
-
-
-
Total Revenue
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
153.01M
10.6%
164.88M
7.8%
197.29M
19.7%
180.32M
-8.6%
183.88M
2.0%
222.06M
20.8%
248.21M
11.8%
263.14M
6.0%
295.77M
12.4%
314.37M
6.3%
351.17M
11.7%
372.79M
6.2%
Total Assets
[friend]
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[friend]
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[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
1.81B
9.8%
1.9B
5.1%
2.03B
6.7%
2.11B
4.4%
2.2B
4.0%
2.46B
12.1%
2.75B
11.5%
3B
9.1%
3.27B
9.1%
3.44B
5.3%
3.77B
9.6%
4.03B
6.8%
Total Liabilities
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
1.18B
11.2%
1.24B
5.4%
1.33B
7.0%
1.45B
9.2%
1.56B
7.9%
1.84B
17.9%
2B
8.5%
2.18B
9.0%
2.4B
9.9%
2.52B
5.0%
2.69B
6.6%
2.86B
6.5%
Total Equity
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
629.64M
7.2%
659.16M
4.7%
699.34M
6.1%
665.57M
-4.8%
634.07M
-4.7%
619.46M
-2.3%
745.45M
20.3%
815.73M
9.4%
871.82M
6.9%
923.76M
6.0%
1.09B
17.7%
1.17B
7.7%
Operating CashFlow
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
103.63M
13.5%
106.93M
3.2%
105.16M
-1.7%
121.93M
15.9%
156.72M
28.5%
178.04M
13.6%
101.12M
-43.2%
197.6M
95.4%
225.97M
14.4%
224.73M
-0.5%
211.53M
-5.9%
210.36M
-0.6%
Beginning Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
132.53M
71.9%
128M
-3.4%
90.01M
-29.7%
121.04M
34.5%
104.16M
-13.9%
120.89M
16.1%
126.21M
4.4%
156.27M
23.8%
158.65M
1.5%
125.06M
-21.2%
162.94M
30.3%
126.69M
-22.2%
End Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
128M
-3.4%
90.01M
-29.7%
121.04M
34.5%
104.16M
-13.9%
120.89M
16.1%
126.21M
4.4%
156.27M
23.8%
158.65M
1.5%
125.06M
-21.2%
162.94M
30.3%
126.69M
-22.2%
136.13M
7.4%
Free Cash Flow
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
101.96M
13.2%
105.11M
3.1%
104.01M
-1.0%
121.23M
16.6%
155.41M
28.2%
175.32M
12.8%
98.96M
-43.6%
194.94M
97.0%
224.41M
15.1%
223.45M
-0.4%
210.42M
-5.8%
206.85M
-1.7%
Net Income (Cont Operations)
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-
-
-
-
-
-
-
-
-
-
-
-
Diluted Net Income
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
35.63M
11.1%
36.62M
2.8%
48.32M
31.9%
31.79M
-34.2%
27.09M
-14.8%
32.98M
21.8%
67.25M
103.9%
55.8M
-17.0%
72.79M
30.4%
76.11M
4.6%
103.39M
35.8%
98.94M
-4.3%
Diluted EPS
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
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[friend]
[friend]
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[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
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[friend]
[friend]
[friend]
[friend]
1.55
11.5%
1.59
2.6%
2.09
31.4%
1.38
-34.0%
1.17
-15.2%
1.43
22.2%
2.9
102.8%
2.4
-17.2%
3.12
30.0%
3.26
4.5%
4.43
35.9%
4.24
-4.3%
Return On Equity (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
5.86%
6.2%
5.68%
-2.9%
7.11%
25.2%
4.66%
-34.5%
4.17%
-10.5%
5.26%
26.2%
9.85%
87.2%
7.15%
-27.5%
8.63%
20.7%
8.48%
-1.7%
10.28%
21.3%
8.76%
-14.8%
Return On Assets (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
2.06%
2.7%
1.98%
-4.3%
2.46%
24.6%
1.54%
-37.6%
1.26%
-18.2%
1.41%
12.6%
2.58%
82.4%
1.94%
-24.7%
2.32%
19.6%
2.27%
-2.4%
2.87%
26.4%
2.54%
-11.5%
Values are in USD whenever applicable | Fiscal year ends on December 31
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