SAFETY INSURANCE GROUP INC (SAFT)

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CIK 0001172052 · Nasdaq · Fire, Marine & Casualty Insurance

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, SAFETY INSURANCE GROUP INC reported revenue of $1.26B, up 12.8% from the prior year. The company was profitable, with a net margin of 7.9%. It held $2.47B in total assets against $1.58B in total liabilities.

Key ratios (FY2025)

7.9%
Net margin
11.1%
Return on equity
+12.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$1.26B$1.12B$930.96M$797.56M$884.91M$846.25M$877.75M$836.50M$839.11M$819.82M
Net Income$99.25M$70.73M$18.88M$46.56M$130.71M$138.21M$99.60M$83.19M$62.39M$64.58M
EPS (Diluted)$6.70$4.78$1.28$3.15$8.80$9.18$6.46$5.43$4.10$4.27
Total Assets$2.47B$2.27B$2.09B$1.97B$2.12B$2.05B$2.02B$1.86B$1.81B$1.76B
Total Liabilities$1.58B$1.44B$1.29B$1.16B$1.19B$1.17B$1.21B$1.14B$1.11B$1.09B
Shareholders' Equity$892.31M$828.46M$804.27M$812.00M$927.17M$884.68M$808.41M$718.64M$701.02M$670.73M
Cash & Equivalents$73.90M$58.97M$38.15M$25.30M$63.60M$53.77M$44.41M$37.58M$41.71M$20.05M
Operating Cash Flow$194.50M$128.69M$52.11M$44.33M$141.39M$109.46M$112.46M$127.69M$82.04M$98.82M
Capital Expenditures$2.51M$4.37M$1.78M$2.09M$8.22M$9.95M$9.59M$11.18M$5.96M$4.91M
Shares Outstanding14.75M14.72M14.71M14.71M14.93M15.12M15.34M15.23M15.14M15.03M
Dividends Per Share$3.64$3.60$3.60$3.60$3.60$3.60$3.40$3.20$3.00$2.80