BeStock  

Donegal Group-B DGICB

US equityMarket cap rank #3563Insurance - Property & Casualty
$17.60 +$0.83 (+4.94%)
Market closed · Oct 8, 7:00 am ET · Last extended-hours $17.60 0.00%
Open$17.49
Prev close$16.77
Day range$17.49 – $17.61
Volume1,374
Market cap$653.30M
P/E (TTM)9.9
Dividend yield3.81%

Fundamentals

Latest reported quarter: Q2, ended Jun 2026

Revenue$241.12M-2.4% YoY
Net profit$22.31M+32.3% YoY
Diluted EPS$0.60+30.4% YoY
Free cash flow$5.90M-51.4% YoY
Operating cash flow$5.90M

Revenue, last 8 quarters

$251.7MSep '24$250.0MDec '24$245.2MMar '25$247.1MJun '25$245.9MSep '25$240.1MDec '25$236.0MMar '26$241.1MJun '26

Net profit, last 8 quarters

$16.8MSep '24$24.0MDec '24$25.2MMar '25$16.9MJun '25$20.1MSep '25$17.2MDec '25$11.5MMar '26$22.3MJun '26

Diluted EPS by quarter

0.51Sep '240.70Dec '240.71Mar '250.46Jun '250.55Sep '250.47Dec '250.31Mar '260.60Jun '26

Free cash flow by quarter

$12.7MSep '24$28.2MDec '24$25.7MMar '25$12.1MJun '25$22.4MSep '25$10.0MDec '25$20.2MMar '26$5.9MJun '26

Annual revenue

$777.8MFY20$816.5MFY21$848.2MFY22$927.3MFY23$989.6MFY24$978.0MFY25

Profitability & balance sheet

Net margin7.4%
Return on equity11.2%
Return on assets2.9%
Liabilities / assets73.2%
Total debt$35.00M
Free cash flow / sales6.1%

Where the revenue comes from

Quarter 2026/Q2

By business line

  • Commercial Lines$141.52M 58.7%
  • Personal Lines$81.06M 33.6%
  • Investments$17.76M 7.4%
  • Other$787,000.00 0.3%

Income statement

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Revenue as Reported $241.12M $236.00M $978.01M $240.14M $245.92M
Total Operating Revenue $241.12M $236.00M $978.01M $240.14M $245.92M
Total Premiums Earned $222.57M $221.36M $921.18M $226.88M $229.82M
-Net Premiums Written $226.41M $239.29M $904.83M $204.31M $219.62M
-Increase Decrease in Net Unearned Premium Reserves -$3.84M -$17.93M $16.36M $22.58M $10.21M
Fee Revenue and Other Income $786,589.00 $830,951.00 $3.58M $822,974.00 $882,098.00
-Fees and Commissions $712,494.00 $756,733.00 $3.28M $748,644.00 $807,427.00
-Other Income Expense $74,095.00 $74,218.00 $302,109.00 $74,330.00 $74,671.00
Net Investment Income $19.24M -$479,224.00 $57.75M $14.85M $16.67M
Net Realized Gain/Loss on Investments -$1.48M $14.29M -$4.51M -$2.42M -$1.46M
Total Expenses $213.57M $221.87M $880.42M $219.18M $220.87M
Loss Adjustment Expense $132.56M $142.00M $564.33M $138.67M $142.72M
Policyholder Dividends $560,147.00 $651,707.00 $3.01M $701,455.00 $731,131.00
Policy Acquisition Expense $36.12M $36.30M $152.78M $36.83M $37.22M
Underwriting Expenses $43.56M $42.01M $158.38M $42.35M $39.69M
Net Non-Operating Interest Income (Expense) -$336,725.00 -$333,025.00 -$1.35M -$340,426.00 -$340,425.00
-Interest Expense Non-Operating $336,725.00 $333,025.00 $1.35M $340,426.00 $340,425.00
Other Operating Expenses $433,332.00 $577,453.00 $559,940.00 $290,834.00 $176,750.00
Pretax Profit $27.55M $14.12M $97.59M $20.96M $25.05M
Tax $5.24M $2.61M $18.25M $3.77M $4.97M
Net Profit $22.31M $11.51M $79.34M $17.19M $20.08M
Profit from Continuing Operations $22.31M $11.51M $79.34M $17.19M $20.08M
Net Income to Parent Company $22.31M $11.51M $79.34M $17.19M $20.08M
Net Income to Common Stockholders $22.31M $11.51M $79.34M $17.19M $20.08M
Basic EPS $0.61 $0.32 $2.22 $0.47 $0.56
Diluted EPS $0.60 $0.31 $2.18 $0.47 $0.55
Dividend Per Share $0.18 $0.17 $0.65 $0.17 $0.17

Balance sheet

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Assets $2.48B $2.45B $2.39B $2.39B $2.42B
Cash and Cash Equivalents $23.72M $35.50M $26.79M $26.79M $38.57M
Total Investments $1.52B $1.50B $1.50B $1.50B $1.49B
-Short Term Investments $468.89M $475.39M $494.38M $494.38M $473.81M
-Fixed Maturity Investments $803.29M $783.95M $776.45M $776.45M $761.41M
-Equity Investments $243.04M $244.85M $229.42M $229.42M $249.92M
-Other Invested Assets -$384.00 -$497.00 – – -$70.00
Receivables $638.92M $622.07M $586.71M $586.71M $609.71M
-Accounts Receivable $630.94M $615.42M $579.39M $579.39M $596.66M
-Taxes Receivable $2.69M $940,090.00 $4.03M $4.03M $4.40M
Accrued Investment Income $11.43M $11.98M $10.91M $10.91M $11.46M
Net PPE $1.14M $2.29M $2.33M $2.33M $2.37M
Goodwill and Other Intangible Assets $6.58M $6.58M $6.58M $6.58M $6.58M
-Goodwill $5.63M $5.63M $5.63M $5.63M $5.63M
-Other Intangible Assets $958,010.00 $958,010.00 $958,010.00 $958,010.00 $958,010.00
Prepaid Assets $197.96M $179.32M $171.08M $171.08M $180.41M
Deferred Policy Acquisition Costs $71.90M $72.00M $68.67M $68.67M $73.42M
Other Assets $1.12M $9,918.00 $9,918.00 $9,918.00 $9,918.00
Total Liabilities $1.82B $1.80B $1.75B $1.75B $1.79B
Policy Holders Liabilities $1.77B $1.75B $1.69B $1.69B $1.74B
Short-Term Debt and Capital Lease Obligation $35.00M $35.00M $35.00M $35.00M $35.00M
-Current Debt $35.00M $35.00M $35.00M $35.00M $35.00M
Payables $1.96M $7.49M $10.13M $10.13M $10.89M
-Accounts Payable $1.96M $7.49M $3.48M $3.48M $10.89M
-Dividends Payable $0.00 $0.00 $6.65M $6.65M $0.00
Current Accrued Expenses $2.08M $2.31M $2.22M $2.22M $2.50M
Other Liabilities $8.11M $7.86M $7.77M $7.77M $8.60M
Total Equity $666.11M $649.09M $640.42M $640.42M $627.44M
Stockholders' Equity $666.11M $649.09M $640.42M $640.42M $627.44M
Capital Stock $401,281.00 $400,902.00 $400,344.00 $400,344.00 $396,867.00
-Common Stock $401,281.00 $400,902.00 $400,344.00 $400,344.00 $396,867.00
-Preferred Stock $0.00 $0.00 $0.00 $0.00 $0.00
Additional Paid-In Capital $394.28M $393.24M $391.81M $391.81M $386.55M
Retained Earnings $324.27M $309.08M $297.73M $297.73M $293.80M
Less: Treasury Stock $41.23M $41.23M $41.23M $41.23M $41.23M
Gains/Losses Not Affecting Retained Earnings -$11.62M -$12.41M -$8.30M -$8.30M -$12.08M
-Total Tax Payable – – $0.00 $0.00 $0.00

Cash flow

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Operating Cash Flow $5.90M $20.17M $70.20M $9.97M $22.35M
Net cash flow from continuing operations $5.90M $20.17M $70.20M $9.97M $22.35M
Net Income from Continuing Operations $22.31M $11.51M $79.34M $17.19M $20.08M
Gain/Loss from Continuing Operations -$3.27M $479,224.00 -$619,342.00 $1.73M -$1.27M
Change in Working Capital -$13.65M $7.33M -$11.60M -$9.37M $2.83M
-Change in Receivables -$15.10M -$38.45M $22.46M $17.51M $11.55M
-Change in Prepaid Assets -$18.64M -$8.24M $5.08M $9.33M $2.38M
-Change in Loss and Loss Adjustment Expense Reserves -$680,055.00 $29.77M -$20.94M -$14.25M -$2.71M
-Change in Deferred Acquisition Costs $95,897.00 -$3.33M $4.68M $4.75M $3.20M
-Change in Accrued Investment Income $552,041.00 -$1.06M -$552,276.00 $544,929.00 -$865,736.00
-Change in Payables and Accrued Expense -$1.41M -$251,902.00 $3.55M $5.40M -$620,017.00
-Change in Unearned Premiums $22.48M $26.17M -$21.44M -$31.91M -$12.59M
-Change in Other Working Capital -$944,606.00 $2.72M -$4.45M -$756,050.00 $2.48M
Net cash flow from investing -$11.22M -$5.41M -$91.13M -$20.25M -$37.18M
Net Cash Flow from Continuing Investing Activities -$11.22M -$5.41M -$91.13M -$20.25M -$37.18M
Net PPE Purchase and Sale $0.00 $325.00 -$425.00 -$323.00 -$2.00
Net Investment Purchase and Sale -$11.22M -$5.41M -$91.13M -$20.25M -$37.18M
Financing Cash Flow -$6.46M -$6.04M -$5.21M -$1.50M -$4.04M
Net Cash Flow from Continuing Financing Activities -$6.46M -$6.04M -$5.21M -$1.50M -$4.04M
Net Common Stock Issuance $575,555.00 $610,935.00 $20.47M $5.08M $2.52M
Cash Dividends Paid -$7.03M -$6.66M -$25.67M -$6.59M -$6.56M
Ending Cash Balance $23.72M $35.50M $26.79M $26.79M $38.57M
Net Change in Cash -$11.78M $8.72M -$26.14M -$11.79M -$18.87M
Beginning Cash Balance $35.50M $26.79M $52.93M $38.57M $57.44M
Free Cash Flow $5.90M $20.17M $70.20M $9.97M $22.35M

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