Trisura Group Ltd. (TSX:TSU)
Canada flag Canada · Delayed Price · Currency is CAD
47.33
-1.33 (-2.73%)
At close: Feb 19, 2026

Trisura Group Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Investments in Debt Securities
1,3341,025530.38582.73383.38
Investments in Equity & Preferred Securities
112.0269.750.07135.51192.5
Other Investments
15.3114.347.547.145
Total Investments
1,8341,435890.16765.38641.14
Cash & Equivalents
285.23269.77604.02406.37341.32
Reinsurance Recoverable
2,7552,7712,0041,5281,389
Other Receivables
31.518.1230.8838.11276.91
Deferred Policy Acquisition Cost
----304.58
Property, Plant & Equipment
27.8613.412.3215.0713.75
Goodwill
10.9811.51---
Other Intangible Assets
4.424.484.334.463.36
Restricted Cash
2.530.61---
Other Current Assets
17.6515.2413.9717.7416.66
Long-Term Deferred Tax Assets
37.4744.0416.3117.949.22
Other Long-Term Assets
1.199.038.866.013.98
Total Assets
5,0074,5923,5842,7993,000
Accrued Expenses
42.3838.5336.236.2248.11
Insurance & Annuity Liabilities
3,7773,5462,7702,165-
Unpaid Claims
----897.01
Unearned Premiums
----1,117
Reinsurance Payable
----408.11
Current Portion of Long-Term Debt
75----
Current Portion of Leases
2.42.752.572.632.24
Current Income Taxes Payable
5.276.7215.13-10.25
Long-Term Debt
59.7798.27757575
Long-Term Leases
19.856.557.139.117.44
Long-Term Deferred Tax Liabilities
-0.69-2.84-
Other Current Liabilities
0.551.61---
Other Long-Term Liabilities
100.14105.4559.0414.3276.15
Total Liabilities
4,0823,8072,9652,3052,642
Common Stock
472.13481.8481.02430.26285.04
Additional Paid-In Capital
13.989.87.495.743.5
Retained Earnings
404.74262.49143.57101.8166.69
Comprehensive Income & Other
33.8231.18-12.66-44.173.57
Total Common Equity
924.67785.27619.43493.65358.79
Shareholders' Equity
924.67785.27619.43493.65358.79
Total Liabilities & Equity
5,0074,5923,5842,7993,000
Filing Date Shares Outstanding
47.3747.6247.4445.7841.17
Total Common Shares Outstanding
47.3747.6247.4445.7841.17
Total Debt
157.03107.5784.786.7484.68
Net Cash (Debt)
128.2162.19519.32319.63256.64
Net Cash Growth
-20.96%-68.77%62.48%24.54%156.20%
Net Cash Per Share
2.643.3410.987.226.10
Book Value Per Share
19.5216.4913.0610.788.72
Tangible Book Value
909.27769.28615.1489.2355.43
Tangible Book Value Per Share
19.1916.1612.9710.688.63
Machinery
11.996.194.433.883.57
Leasehold Improvements
2.874.372.992.982.95
Source: S&P Global Market Intelligence. Insurance template. Financial Sources.