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DIISY DIRECT LINE INSURANCE GROUP PLC UNSP ADR EA REP 4 ORD (PST REV SPLT)

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  • 12.120
  • -0.060-0.49%
15min DelayClose Dec 20 16:00 ET
3.94BMarket Cap10.54P/E (TTM)

DIRECT LINE INSURANCE GROUP PLC UNSP ADR EA REP 4 ORD (PST REV SPLT) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
-Net loan
-16.20%334.1M
-16.94%363.2M
-16.94%363.2M
-10.20%398.7M
--437.3M
--437.3M
-5.95%444M
----
----
-0.67%472.1M
-Short term investments
36.05%20M
42.11%18.9M
42.11%18.9M
-99.59%14.7M
--13.3M
--13.3M
-16.23%3.55B
----
----
7.56%4.24B
Cash and cash equivalents
-7.75%1.48B
76.58%1.77B
76.58%1.77B
105.98%1.6B
5.01%1B
5.01%1B
-9.58%777.2M
-21.67%955.7M
-21.67%955.7M
-42.70%859.5M
-Accounts receivable
----
----
----
----
----
----
-6.35%783.5M
----
----
-3.73%836.6M
-Taxes receivable
-18.48%55.6M
15.16%82.8M
15.16%82.8M
847.22%68.2M
399.31%71.9M
399.31%71.9M
--7.2M
--14.4M
--14.4M
----
-Other receivables
-83.76%33.3M
2.03%35.2M
2.03%35.2M
--205.1M
21.48%34.5M
21.48%34.5M
----
--28.4M
--28.4M
----
Prepaid assets
----
----
----
----
----
----
-38.09%42.1M
----
----
--68M
Deferred policy acquisition costs
----
----
----
----
----
----
2.98%186.8M
----
----
3.30%181.4M
Net PPE
2.53%186.1M
19.78%187.7M
19.78%187.7M
-2.47%181.5M
-17.48%156.7M
-17.48%156.7M
-20.98%186.1M
-33.11%189.9M
-33.11%189.9M
-17.25%235.5M
Goodwill and other intangible assets
-6.49%784.8M
-0.44%818.6M
-0.44%818.6M
0.83%839.3M
-0.04%822.2M
-0.04%822.2M
3.07%832.4M
4.54%822.5M
4.54%822.5M
8.96%807.6M
-Goodwill
----
-3.02%208.5M
-3.02%208.5M
----
0.00%215M
0.00%215M
----
0.37%215M
0.37%215M
----
-Other intangible assets
-6.49%784.8M
0.48%610.1M
0.48%610.1M
0.83%839.3M
-0.05%607.2M
-0.05%607.2M
3.07%832.4M
6.10%607.5M
6.10%607.5M
8.96%807.6M
Defined pension benefit
-31.25%1.1M
-18.75%1.3M
-18.75%1.3M
-86.78%1.6M
-86.78%1.6M
-86.78%1.6M
34.44%12.1M
34.44%12.1M
34.44%12.1M
-7.22%9M
Other assets
-0.30%98.7M
-3.24%101.5M
-3.24%101.5M
-13.91%99M
-15.54%104.9M
-15.54%104.9M
-10.23%115M
-1.43%124.2M
-1.43%124.2M
3.89%128.1M
Total assets
15.60%8.66B
13.38%8.42B
13.38%8.42B
-14.02%7.49B
-11.44%7.42B
-11.44%7.42B
-6.44%8.71B
-12.88%8.38B
-12.88%8.38B
-2.74%9.31B
Liabilities
Payables
1.90%166.4M
38.05%15.6M
38.05%15.6M
-62.35%163.3M
-91.43%11.3M
-91.43%11.3M
-10.11%433.7M
-76.34%131.8M
-76.34%131.8M
0.37%482.5M
-Accounts payable
1.90%166.4M
0.00%2.2M
0.00%2.2M
-62.35%163.3M
-98.33%2.2M
-98.33%2.2M
-8.73%433.7M
-63.09%131.8M
-63.09%131.8M
-1.14%475.2M
-Total tax payable
----
55.70%12.3M
55.70%12.3M
----
--7.9M
--7.9M
----
----
----
--7.3M
-Reinsurance balances payable
--264.9M
738.85%116.6M
738.85%116.6M
--0
286.11%13.9M
286.11%13.9M
----
--3.6M
--3.6M
----
-Other payable
----
-8.33%1.1M
-8.33%1.1M
----
--1.2M
--1.2M
----
----
----
----
Short term debt and capital lease obligation
17.54%112.6M
26.38%82.4M
26.38%82.4M
-0.10%95.8M
10.14%65.2M
10.14%65.2M
76.61%95.9M
14.07%59.2M
14.07%59.2M
-16.59%54.3M
-Current debt
17.54%112.6M
26.38%82.4M
26.38%82.4M
-0.10%95.8M
10.14%65.2M
10.14%65.2M
76.61%95.9M
14.07%59.2M
14.07%59.2M
-16.59%54.3M
Long term provisions
-73.60%17M
201.96%30.8M
201.96%30.8M
-14.48%64.4M
-78.79%10.2M
-78.79%10.2M
-27.74%75.3M
-58.10%48.1M
-58.10%48.1M
28.96%104.2M
Long term debt and capital lease obligation
2.46%366.6M
7.26%364.9M
7.26%364.9M
5.58%357.8M
-43.09%340.2M
-43.09%340.2M
-43.41%338.9M
-10.64%597.8M
-10.64%597.8M
-11.06%598.9M
-Long term debt
0.08%258.9M
0.08%258.8M
0.08%258.8M
0.12%258.7M
-49.65%258.6M
-49.65%258.6M
-49.83%258.4M
-0.58%513.6M
-0.58%513.6M
-0.56%515M
-Long term capital lease obligation
8.68%107.7M
30.02%106.1M
30.02%106.1M
23.11%99.1M
-3.09%81.6M
-3.09%81.6M
-4.05%80.5M
-44.75%84.2M
-44.75%84.2M
-46.05%83.9M
Non current accrued expenses
----
6.95%141.6M
6.95%141.6M
----
--132.4M
--132.4M
----
----
----
----
Derivative product liabilities
151.61%15.6M
-47.97%15.4M
-47.97%15.4M
-91.71%6.2M
51.79%29.6M
51.79%29.6M
5.20%74.8M
-65.91%19.5M
-65.91%19.5M
-8.02%71.1M
Total liabilities
16.95%6.27B
14.92%6.01B
14.92%6.01B
-12.15%5.36B
-6.33%5.23B
-6.33%5.23B
-4.07%6.1B
-15.06%5.59B
-15.06%5.59B
-1.73%6.36B
Shareholders'equity
Share capital
0.00%143.1M
0.00%143.1M
0.00%143.1M
0.00%143.1M
-1.45%143.1M
-1.45%143.1M
-2.72%143.1M
-2.48%145.2M
-2.48%145.2M
-1.21%147.1M
-common stock
0.00%143.1M
0.00%143.1M
0.00%143.1M
0.00%143.1M
-1.45%143.1M
-1.45%143.1M
-2.72%143.1M
-2.48%145.2M
-2.48%145.2M
-1.21%147.1M
Retained earnings
106.56%459.8M
71.03%484.7M
71.03%484.7M
-74.45%222.6M
-68.19%283.4M
-68.19%283.4M
-12.75%871.1M
-15.65%890.8M
-15.65%890.8M
-15.47%998.4M
Other equity interest
5.33%325.9M
2.96%316.6M
2.96%316.6M
-0.13%309.4M
0.79%307.5M
0.79%307.5M
0.26%309.8M
-0.36%305.1M
-0.36%305.1M
-0.39%309M
Total stockholders'equity
12.20%2.39B
9.71%2.4B
9.71%2.4B
-18.38%2.13B
-21.64%2.19B
-21.64%2.19B
-11.55%2.61B
-8.18%2.8B
-8.18%2.8B
-4.84%2.95B
Total equity
12.20%2.39B
9.71%2.4B
9.71%2.4B
-18.38%2.13B
-21.64%2.19B
-21.64%2.19B
-11.55%2.61B
-8.18%2.8B
-8.18%2.8B
-4.84%2.95B
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
-Net loan -16.20%334.1M-16.94%363.2M-16.94%363.2M-10.20%398.7M--437.3M--437.3M-5.95%444M---------0.67%472.1M
-Short term investments 36.05%20M42.11%18.9M42.11%18.9M-99.59%14.7M--13.3M--13.3M-16.23%3.55B--------7.56%4.24B
Cash and cash equivalents -7.75%1.48B76.58%1.77B76.58%1.77B105.98%1.6B5.01%1B5.01%1B-9.58%777.2M-21.67%955.7M-21.67%955.7M-42.70%859.5M
-Accounts receivable -------------------------6.35%783.5M---------3.73%836.6M
-Taxes receivable -18.48%55.6M15.16%82.8M15.16%82.8M847.22%68.2M399.31%71.9M399.31%71.9M--7.2M--14.4M--14.4M----
-Other receivables -83.76%33.3M2.03%35.2M2.03%35.2M--205.1M21.48%34.5M21.48%34.5M------28.4M--28.4M----
Prepaid assets -------------------------38.09%42.1M----------68M
Deferred policy acquisition costs ------------------------2.98%186.8M--------3.30%181.4M
Net PPE 2.53%186.1M19.78%187.7M19.78%187.7M-2.47%181.5M-17.48%156.7M-17.48%156.7M-20.98%186.1M-33.11%189.9M-33.11%189.9M-17.25%235.5M
Goodwill and other intangible assets -6.49%784.8M-0.44%818.6M-0.44%818.6M0.83%839.3M-0.04%822.2M-0.04%822.2M3.07%832.4M4.54%822.5M4.54%822.5M8.96%807.6M
-Goodwill -----3.02%208.5M-3.02%208.5M----0.00%215M0.00%215M----0.37%215M0.37%215M----
-Other intangible assets -6.49%784.8M0.48%610.1M0.48%610.1M0.83%839.3M-0.05%607.2M-0.05%607.2M3.07%832.4M6.10%607.5M6.10%607.5M8.96%807.6M
Defined pension benefit -31.25%1.1M-18.75%1.3M-18.75%1.3M-86.78%1.6M-86.78%1.6M-86.78%1.6M34.44%12.1M34.44%12.1M34.44%12.1M-7.22%9M
Other assets -0.30%98.7M-3.24%101.5M-3.24%101.5M-13.91%99M-15.54%104.9M-15.54%104.9M-10.23%115M-1.43%124.2M-1.43%124.2M3.89%128.1M
Total assets 15.60%8.66B13.38%8.42B13.38%8.42B-14.02%7.49B-11.44%7.42B-11.44%7.42B-6.44%8.71B-12.88%8.38B-12.88%8.38B-2.74%9.31B
Liabilities
Payables 1.90%166.4M38.05%15.6M38.05%15.6M-62.35%163.3M-91.43%11.3M-91.43%11.3M-10.11%433.7M-76.34%131.8M-76.34%131.8M0.37%482.5M
-Accounts payable 1.90%166.4M0.00%2.2M0.00%2.2M-62.35%163.3M-98.33%2.2M-98.33%2.2M-8.73%433.7M-63.09%131.8M-63.09%131.8M-1.14%475.2M
-Total tax payable ----55.70%12.3M55.70%12.3M------7.9M--7.9M--------------7.3M
-Reinsurance balances payable --264.9M738.85%116.6M738.85%116.6M--0286.11%13.9M286.11%13.9M------3.6M--3.6M----
-Other payable -----8.33%1.1M-8.33%1.1M------1.2M--1.2M----------------
Short term debt and capital lease obligation 17.54%112.6M26.38%82.4M26.38%82.4M-0.10%95.8M10.14%65.2M10.14%65.2M76.61%95.9M14.07%59.2M14.07%59.2M-16.59%54.3M
-Current debt 17.54%112.6M26.38%82.4M26.38%82.4M-0.10%95.8M10.14%65.2M10.14%65.2M76.61%95.9M14.07%59.2M14.07%59.2M-16.59%54.3M
Long term provisions -73.60%17M201.96%30.8M201.96%30.8M-14.48%64.4M-78.79%10.2M-78.79%10.2M-27.74%75.3M-58.10%48.1M-58.10%48.1M28.96%104.2M
Long term debt and capital lease obligation 2.46%366.6M7.26%364.9M7.26%364.9M5.58%357.8M-43.09%340.2M-43.09%340.2M-43.41%338.9M-10.64%597.8M-10.64%597.8M-11.06%598.9M
-Long term debt 0.08%258.9M0.08%258.8M0.08%258.8M0.12%258.7M-49.65%258.6M-49.65%258.6M-49.83%258.4M-0.58%513.6M-0.58%513.6M-0.56%515M
-Long term capital lease obligation 8.68%107.7M30.02%106.1M30.02%106.1M23.11%99.1M-3.09%81.6M-3.09%81.6M-4.05%80.5M-44.75%84.2M-44.75%84.2M-46.05%83.9M
Non current accrued expenses ----6.95%141.6M6.95%141.6M------132.4M--132.4M----------------
Derivative product liabilities 151.61%15.6M-47.97%15.4M-47.97%15.4M-91.71%6.2M51.79%29.6M51.79%29.6M5.20%74.8M-65.91%19.5M-65.91%19.5M-8.02%71.1M
Total liabilities 16.95%6.27B14.92%6.01B14.92%6.01B-12.15%5.36B-6.33%5.23B-6.33%5.23B-4.07%6.1B-15.06%5.59B-15.06%5.59B-1.73%6.36B
Shareholders'equity
Share capital 0.00%143.1M0.00%143.1M0.00%143.1M0.00%143.1M-1.45%143.1M-1.45%143.1M-2.72%143.1M-2.48%145.2M-2.48%145.2M-1.21%147.1M
-common stock 0.00%143.1M0.00%143.1M0.00%143.1M0.00%143.1M-1.45%143.1M-1.45%143.1M-2.72%143.1M-2.48%145.2M-2.48%145.2M-1.21%147.1M
Retained earnings 106.56%459.8M71.03%484.7M71.03%484.7M-74.45%222.6M-68.19%283.4M-68.19%283.4M-12.75%871.1M-15.65%890.8M-15.65%890.8M-15.47%998.4M
Other equity interest 5.33%325.9M2.96%316.6M2.96%316.6M-0.13%309.4M0.79%307.5M0.79%307.5M0.26%309.8M-0.36%305.1M-0.36%305.1M-0.39%309M
Total stockholders'equity 12.20%2.39B9.71%2.4B9.71%2.4B-18.38%2.13B-21.64%2.19B-21.64%2.19B-11.55%2.61B-8.18%2.8B-8.18%2.8B-4.84%2.95B
Total equity 12.20%2.39B9.71%2.4B9.71%2.4B-18.38%2.13B-21.64%2.19B-21.64%2.19B-11.55%2.61B-8.18%2.8B-8.18%2.8B-4.84%2.95B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Heat List
US
Overall
Symbol
Price
% Chg

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