Trisura Group

Trisura Group
Trisura Group
TSU
TSX
41.82 CAD
7.89%

About

Trisura Group Ltd. is a specialty insurance provider. The Company is engaged in operating in surety, risk solutions, corporate insurance, and fronting business lines of the market. It has investments in subsidiaries through which it conducts insurance and reinsurance operations. Those operations are primarily in Canada (Trisura Canada) and the United States (Trisura US).

Its segments include the operations of Trisura Canada, comprising surety business underwritten in both Canada and the United States, and risk solutions, fronting and corporate insurance products primarily underwritten in Canada and Trisura US, which provides specialty fronting insurance solutions underwritten in the United States.

The main products offered by its surety business line are contract surety bonds, commercial surety bonds, developer surety bonds, and new home warranty insurance. Its contract surety bonds, such as performance and labor and material payment bonds, are primarily for the construction industry..

Financials Amount (in millions)

Income statement
Balance sheet
Cash flow

Ratios

Price and Volume
Volume
Ten Day Average Volume 35.0K
Three Month Average Volume 1.2M
High Low
Fifty-Two Week High 46.75 CAD
Fifty-Two Week Low 29.05 CAD
Fifty-Two Week High Date 31 Jul 2024
Fifty-Two Week Low Date 04 Oct 2023
Price and Volume
Current Price 41.82 CAD
Beta 1
Relative Price Change
Four Week Relative Price Change -7.85%
Thirteen Week Relative Price Change -1.09%
Twenty-Six Week Relative Price Change -12.54%
Fifty-Two Week Relative Price Change 13.42%
Year-to-Date Relative Price Change 10.42%
Price Change
One Day Price Change 0.36%
Thirteen Week Price Change 3.69%
Twenty-Six Week Price Change -5.26%
Five Day Price Change 0.29%
Fifty-Two Week Price Change 30.48%
Year-to-Date Price Change 23.00%
Month-to-Date Price Change -9.44%
Per Share Data
Book Value
Book Value Per Share (Last Fiscal Year) 13.05717 CAD
Book Value Per Share (Most Recent Quarter) 14.61909 CAD
Tangible Book Value Per Share (Last Fiscal Year) 12.96581 CAD
Tangible Book Value Per Share (Most Recent Quarter) 14.61909 CAD
EBITD
EBITD Per Share (Trailing Twelve Months) 2.63897 CAD
Revenue
Revenue Per Share (Last Fiscal Year) 50.2271 CAD
Revenue Per Share (Trailing Twelve Months) 52.03577 CAD
Dividend
Dividend Per Share (Last Fiscal Year) -99999.99 CAD
Dividend Per Share (Trailing Twelve Months) 0 CAD
Dividend Per Share (5 Year) -99999.99 CAD
Earnings Per Share
Excluding Extraordinary Items (Last Fiscal Year) 1.41537 CAD
Excluding Extraordinary Items (Trailing Twelve Months) 1.85779 CAD
Normalized (Last Fiscal Year) 1.40136 CAD
Basic Excluding Extraordinary Items (Last Fiscal Year) 1.4387 CAD
Basic Excluding Extraordinary Items (Trailing Twelve Months) 1.89026 CAD
Including Extraordinary Items (Last Fiscal Year) 1.41537 CAD
Including Extraordinary Items (Trailing Twelve Months) 1.85779 CAD
Cash
Cash Per Share (Last Fiscal Year) 12.73227 CAD
Cash Per Share (Most Recent Quarter) 8.52917 CAD
Cash Flow Per Share (Last Fiscal Year) 1.45049 CAD
Cash Flow Per Share (Trailing Twelve Months) 1.88726 CAD
Free Cash Flow Per Share (Trailing Twelve Months) 4.33789 CAD
Margins
Cash Flow Revenue
Cash Flow Revenue (5 Year) 17
Cash Flow Revenue (Trailing Twelve Months) 8
Pretax Margin
Pretax Margin (Trailing Twelve Months) 4.87%
Pretax Margin (Last Fiscal Year) 3.81%
Pretax Margin (5 Year) 5.40%
Gross Margin
Gross Margin (Last Fiscal Year) -99,999.99%
Gross Margin (Trailing Twelve Months) -99,999.99%
Gross Margin (5 Year) -99,999.99%
Operating Margin
Operating Margin (Last Fiscal Year) 3.81%
Operating Margin (Trailing Twelve Months) 4.87%
Operating Margin (5 Year) 4.05%
Net Profit Margin
Net Profit Margin (Last Fiscal Year) 2.82%
Net Profit Margin (Trailing Twelve Months) 3.58%
Net Profit Margin (5 Year) 4.02%
Growth
Book Value
Book Value Per Share (5 Year) 21.62%
Tangible Book Value (5 Year) 36.73%
Free Operating Cash Flow
Free Operating Cash Flow (5 Year) 67.46%
Revenue
Revenue Change MRQ vs 1 Year Ago 2.44%
Revenue Growth (3 Year) 90.97%
Revenue Change (Trailing Twelve Months) 15.91%
Revenue Per Share Growth 70.55%
Revenue Growth (5 Year) 129.28%
Capital Spending Debt
Capital Spending (5 Year) 1.40%
Total Debt (5 Year) 23.32%
Dividends
Dividend Growth (3 Year) -99,999.99%
Earnings Per Share
EPS Change MRQ vs 1 Year Ago -2.45%
EPS Change (Trailing Twelve Months) 264.14%
EPS Growth (3 Year) 34.81%
EPS Growth (5 Year) 19.96%
EBITDA
EBITDA (5 Year) 74.23%
EBITDA (5 Year Interim) -99,999.99%
Net Profit Margin
Net Profit Margin Growth (5 Year) -21.13%
Valuation
Total Price to Book
Price to Tangible Book (Last Fiscal Year) 3
Price to Tangible Book (Most Recent Quarter) 3
Price to Free Cash Flow
Price to Free Cash Per Share (Last Fiscal Year) 8
Price to Free Cash Per Share (Trailing Twelve Months) 10
Net Debt
Net Debt (Most Recent Quarter) -297,351,000
Net Debt (Last Fiscal Year) -519,318,000
Price to Sales
Price to Sales (Last Fiscal Year) 1
Price to Sales (Trailing Twelve Months) 1
Price to Earnings
PE Excluding Extraordinary Items (Last Fiscal Year) 23
PE Normalized (Last Fiscal Year) 30
PE Basic Excluding Extraordinary Items (Trailing Twelve Months) 22
PE Excluding Extraordinary Items High (Trailing Twelve Months) 101
PE Excluding Extraordinary Items Low (Trailing Twelve Months) 19
PE Including Extraordinary Items (Trailing Twelve Months) 23
Dividends
Dividend Yield (5 Year) -99,999.99%
Dividend Yield -99,999.99%
Current Dividend Yield 0.00%
Price to Book
Price to Book (Last Fiscal Year) 3
Price to Book (Most Recent Quarter) 3
Financial Strength
Debt to Equity
Long Term Debt to Equity (Last Fiscal Year) 14
Long Term Debt to Equity (Most Recent Quarter) 16
Payout Ratio
Payout Ratio (Last Fiscal Year) 0.00%
Payout Ratio (Trailing Twelve Months) 0.00%
Quick Ratio
Quick Ratio (Last Fiscal Year) -100,000
Quick Ratio (Most Recent Quarter) -100,000
Enterprise Value
Current Enterprise Value to Free Cash Flow (Last Fiscal Year) -100,000
Current Enterprise Value to Free Cash Flow (Trailing Twelve Months) -100,000
Current Ratio
Current Ratio (Last Fiscal Year) -100,000
Current Ratio (Most Recent Quarter) -100,000
Free Cash Flow
Free Cash Flow (Last Fiscal Year) 257.2M
Free Cash Flow (Trailing Twelve Months) 209.1M
Net Interest Coverage
Net Interest Coverage (Last Fiscal Year) 38
Net Interest Coverage (Trailing Twelve Months) 50
Total Debt to Equity
Total Debt to Equity (Last Fiscal Year) 14
Total Debt to Equity (Most Recent Quarter) 16
Management Effectiveness
Return on Assets
Return on Assets (Last Fiscal Year) 2.10%
Return on Assets (Trailing Twelve Months) 2.55%
Return on Assets (5 Year) 2.04%
Return on Equity
Return on Equity (Last Fiscal Year) 12.03%
Return on Equity (Trailing Twelve Months) 14.65%
Return on Equity (5 Year) 11.36%
Return on Investment
Return on Investment (Last Fiscal Year) -99,999.99%
Return on Investment (Trailing Twelve Months) -99,999.99%
Return on Investment (5 Year) -99,999.99%

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