USX:TRRSF - Trisura Group Ltd Trisura Group Ltd
Sector: Financials, Industry: Property & Casualty Insurance
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Balance Sheet Cash Flow Income Statement Key Ratios
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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 (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 11.76%
0.1%
14.98%
27.4%
15.07%
0.6%
14.97%
-0.7%
11.65%
-22.2%
10.48%
-10.0%
1.62%
-84.5%
1.62%
-0.1%
1.58%
-2.6%
1.6%
1.8%
1.55%
-3.4%
-
Net Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 19.09%
8.7%
20.21%
5.8%
17.88%
-11.5%
16.27%
-9.0%
15.58%
-4.3%
15.58%
0.0%
4.69%
-69.9%
2.16%
-53.9%
3.31%
53.0%
0.62%
-81.1%
9.41%
1405.9%
10.75%
14.2%
Gross Margin [friend] [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] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - - - - - - - -
Total Revenue [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 281.35M
13.9%
312.77M
11.2%
349.88M
11.9%
395.08M
12.9%
433.86M
9.8%
483.33M
11.4%
526.1M
8.8%
707.21M
34.4%
639.43M
-9.6%
1.88B
194.5%
711.34M
-62.2%
831.74M
16.9%
Total Assets [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 2.2B
16.9%
2.58B
16.8%
1.99B
-22.6%
3.01B
51.0%
3.49B
15.9%
4.17B
19.4%
2.8B
-32.8%
2.98B
6.4%
3.12B
4.8%
3.4B
9.1%
3.58B
5.3%
-
Total Liabilities [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 1.87B
18.8%
2.23B
18.8%
1.63B
-26.9%
2.65B
63.1%
3.13B
18.0%
3.64B
16.2%
2.31B
-36.7%
2.46B
6.9%
2.59B
5.1%
2.81B
8.3%
2.97B
5.7%
-
Total Equity [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 330.76M
7.1%
349.69M
5.7%
366.09M
4.7%
356.95M
-2.5%
356.68M
-0.1%
526.32M
47.6%
493.65M
-6.2%
512.46M
3.8%
529.68M
3.4%
598.69M
13.0%
619.43M
3.5%
-
Operating CashFlow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 177.32M
55.4%
213.18M
20.2%
306.85M
43.9%
291.7M
-4.9%
271.22M
-7.0%
222.72M
-17.9%
150.93M
-32.2%
150.12M
-0.5%
81.39M
-45.8%
208.14M
155.7%
257.91M
23.9%
429.75M
66.6%
Beginning Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 99.21M
17.6%
124.86M
25.9%
136.52M
9.3%
129.65M
-5.0%
172.82M
33.3%
245.33M
42.0%
341.32M
39.1%
304.46M
-10.8%
367.97M
20.9%
384.55M
4.5%
406.37M
5.7%
368.21M
-9.4%
End Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 179.08M
31.9%
246.78M
37.8%
341.32M
38.3%
304.54M
-10.8%
361.47M
18.7%
369.05M
2.1%
406.37M
10.1%
354.69M
-12.7%
324.38M
-8.5%
524.62M
61.7%
604.02M
15.1%
618.77M
2.4%
Free Cash Flow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 174M
54.9%
209.53M
20.4%
303.39M
44.8%
288.81M
-4.8%
269.88M
-6.6%
220.5M
-18.3%
148.8M
-32.5%
148.1M
-0.5%
79.26M
-46.5%
206.99M
161.2%
257.2M
24.3%
428.68M
66.7%
Net Income (Cont Operations) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 53.71M
23.8%
63.2M
17.7%
62.56M
-1.0%
64.29M
2.8%
67.6M
5.1%
75.29M
11.4%
24.65M
-67.3%
15.29M
-38.0%
21.15M
38.4%
11.77M
-44.4%
66.94M
468.9%
89.4M
33.5%
Diluted Net Income [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 53.71M
23.8%
63.2M
17.7%
62.56M
-1.0%
64.29M
2.8%
67.6M
5.1%
75.29M
11.4%
24.65M
-67.3%
15.29M
-38.0%
21.15M
38.4%
11.77M
-44.4%
66.94M
468.9%
89.4M
33.5%
Diluted EPS [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 1.281
22.6%
1.51
17.9%
1.49
-1.3%
1.53
2.7%
1.61
5.2%
1.75
8.7%
0.56
-68.0%
0.3
-46.4%
0.38
26.7%
0.123
-67.7%
1.42
1055.4%
1.888
33.0%
Return On Equity (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 17.9%
2.3%
20.21%
12.9%
19.29%
-4.5%
19.31%
0.1%
19.67%
1.8%
17.19%
-12.6%
5.85%
-65.9%
3.52%
-39.9%
4.77%
35.7%
2.09%
-56.2%
12.14%
480.4%
-
Return On Assets (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 3.04%
6.2%
3.09%
1.6%
2.66%
-13.9%
2.63%
-1.2%
2.37%
-9.5%
2.23%
-5.9%
0.68%
-69.7%
0.51%
-24.6%
0.64%
25.4%
0.31%
-51.4%
1.7%
447.3%
-
Values are in CAD whenever applicable | Fiscal year ends on December 31
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