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Safety Insurance Group, Inc. (SAFT) Cash From Financing

Annual CFF:

-$53.33M+$10.21M(+16.06%)
December 31, 2024

Summary

  • As of today, SAFT annual cash from financing is -$53.33 million, with the most recent change of +$10.21 million (+16.06%) on December 31, 2024.
  • During the last 3 years, SAFT annual cash from financing has risen by +$12.25 million (+18.68%).
  • SAFT annual cash from financing is now -144.10% below its all-time high of $120.93 million, reached on December 31, 2001.

Performance

SAFT Cash From Financing Chart

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Quarterly CFF:

-$13.28M+$292.00K(+2.15%)
June 30, 2025

Summary

  • As of today, SAFT quarterly cash from financing is -$13.28 million, with the most recent change of +$292.00 thousand (+2.15%) on June 30, 2025.
  • Over the past year, SAFT quarterly cash from financing has dropped by -$43.00 thousand (-0.32%).
  • SAFT quarterly cash from financing is now -346.81% below its all-time high of $5.38 million, reached on March 31, 2020.

Performance

SAFT Quarterly Cash From Financing Chart

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TTM CFF:

-$53.32M-$43.00K(-0.08%)
June 30, 2025

Summary

  • As of today, SAFT TTM cash from financing is -$53.32 million, with the most recent change of -$43.00 thousand (-0.08%) on June 30, 2025.
  • Over the past year, SAFT TTM cash from financing has increased by +$4.89 million (+8.40%).
  • SAFT TTM cash from financing is now -4403.55% below its all-time high of $1.24 million, reached on March 31, 2003.

Performance

SAFT TTM Cash From Financing Chart

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Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

SAFT Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1Y1 Year+16.1%-0.3%+8.4%
3Y3 Years+18.7%-1.0%+33.1%
5Y5 Years-1.3%+47.7%+18.0%

SAFT Cash From Financing Highs & Lows

PeriodPeriodAnnual vs HighAnnual vs HighAnnual vs LowAnnual vs LowQuarter. vs HighQuarter. vs HighQuarter. vs LowQuarter. vs LowTTM vs HighTTM vs HighTTM vs LowTTM vs Low
3Y3-Yearat high+18.7%-254.3%+53.3%-39.7%+32.9%
5Y5-Year-1.3%+18.7%-254.3%+57.6%-39.7%+36.4%
All-TimeAll-Time-144.1%+19.9%-346.8%+59.2%-4403.6%+36.4%

SAFT Cash From Financing History

DateAnnualQuarterlyTTM
Jun 2025
-
-$13.28M(+2.2%)
-$53.32M(-0.1%)
Mar 2025
-
-$13.57M(-2.5%)
-$53.28M(+0.1%)
Dec 2024
-$53.33M(+16.1%)
-$13.23M(+0.1%)
-$53.33M(-0.1%)
Sep 2024
-
-$13.24M(-0.1%)
-$53.27M(+8.5%)
Jun 2024
-
-$13.23M(+2.8%)
-$58.21M(+20.7%)
Mar 2024
-
-$13.62M(-3.3%)
-$73.40M(-15.5%)
Dec 2023
-$63.53M(-1.4%)
-$13.18M(+27.5%)
-$63.53M(-8.6%)
Sep 2023
-
-$18.18M(+36.0%)
-$58.49M(-9.4%)
Jun 2023
-
-$28.42M(-658.5%)
-$53.45M(-40.0%)
Mar 2023
-
-$3.75M(+54.0%)
-$38.17M(+39.1%)
Dec 2022
-$62.64M(+4.5%)
-$8.14M(+38.0%)
-$62.64M(+21.1%)
Sep 2022
-
-$13.14M(+0.0%)
-$79.43M(+0.3%)
Jun 2022
-
-$13.14M(+53.4%)
-$79.65M(+0.3%)
Mar 2022
-
-$28.22M(-13.2%)
-$79.88M(-21.8%)
Dec 2021
-$65.57M(-1.5%)
-$24.93M(-86.5%)
-$65.57M(-21.5%)
Sep 2021
-
-$13.37M(0.0%)
-$53.95M(+24.9%)
Jun 2021
-
-$13.37M(+4.0%)
-$71.86M(+14.3%)
Mar 2021
-
-$13.91M(-4.6%)
-$83.87M(-29.9%)
Dec 2020
-$64.57M(-22.6%)
-$13.30M(+57.5%)
-$64.57M(+0.7%)
Sep 2020
-
-$31.28M(-23.3%)
-$65.02M(-36.9%)
Jun 2020
-
-$25.37M(-571.6%)
-$47.48M(-38.3%)
Mar 2020
-
$5.38M(+139.1%)
-$34.32M(+34.8%)
Dec 2019
-$52.67M(-7.9%)
-$13.74M(0.0%)
-$52.67M(-3.1%)
Sep 2019
-
-$13.74M(-12.5%)
-$51.07M(-3.2%)
Jun 2019
-
-$12.22M(+5.8%)
-$49.48M(-0.1%)
Mar 2019
-
-$12.96M(-6.7%)
-$49.44M(-1.3%)
Dec 2018
-$48.81M(-7.4%)
-$12.15M(+0.0%)
-$48.81M(-0.1%)
Sep 2018
-
-$12.15M(+0.2%)
-$48.76M(-0.1%)
Jun 2018
-
-$12.18M(+1.3%)
-$48.70M(-3.4%)
Mar 2018
-
-$12.34M(-2.0%)
-$47.10M(-3.6%)
Dec 2017
-$45.46M(-8.2%)
-$12.09M(-0.0%)
-$45.46M(-3.5%)
Sep 2017
-
-$12.09M(-14.3%)
-$43.91M(-3.7%)
Jun 2017
-
-$10.58M(+1.1%)
-$42.35M(-0.1%)
Mar 2017
-
-$10.70M(-1.5%)
-$42.31M(-0.7%)
Dec 2016
-$42.01M(-0.8%)
-$10.54M(+0.0%)
-$42.01M(-0.3%)
Sep 2016
-
-$10.54M(0.0%)
-$41.89M(-0.2%)
Jun 2016
-
-$10.54M(-1.4%)
-$41.80M(-0.2%)
Mar 2016
-
-$10.40M(+0.1%)
-$41.71M(-0.0%)
Dec 2015
-$41.70M(+33.3%)
-$10.41M(+0.4%)
-$41.70M(-0.2%)
Sep 2015
-
-$10.45M(-0.0%)
-$41.60M(+0.0%)
Jun 2015
-
-$10.45M(-0.6%)
-$41.61M(+34.7%)
Mar 2015
-
-$10.38M(-0.7%)
-$63.71M(-2.0%)
Dec 2014
-$62.47M(-59.9%)
-$10.31M(+1.4%)
-$62.47M(-1.9%)
Sep 2014
-
-$10.46M(+67.9%)
-$61.28M(-2.6%)
Jun 2014
-
-$32.55M(-256.1%)
-$59.70M(-51.0%)
Mar 2014
-
-$9.14M(-0.2%)
-$39.55M(-1.2%)
Dec 2013
-$39.07M
-$9.13M(-2.8%)
-$39.07M(-0.4%)
Sep 2013
-
-$8.88M(+28.4%)
-$38.90M(-0.6%)
DateAnnualQuarterlyTTM
Jun 2013
-
-$12.40M(-43.1%)
-$38.67M(-14.2%)
Mar 2013
-
-$8.66M(+3.2%)
-$33.86M(-4.5%)
Dec 2012
-$32.41M(-10.0%)
-$8.95M(-3.5%)
-$32.41M(-4.4%)
Sep 2012
-
-$8.65M(-14.0%)
-$31.05M(-3.4%)
Jun 2012
-
-$7.59M(-5.1%)
-$30.03M(-0.7%)
Mar 2012
-
-$7.22M(+4.9%)
-$29.81M(-1.2%)
Dec 2011
-$29.46M(+4.5%)
-$7.59M(+0.6%)
-$29.46M(-5.4%)
Sep 2011
-
-$7.63M(-3.6%)
-$27.96M(-1.9%)
Jun 2011
-
-$7.37M(-7.2%)
-$27.45M(+13.6%)
Mar 2011
-
-$6.88M(-13.0%)
-$31.79M(-3.0%)
Dec 2010
-$30.86M(+53.6%)
-$6.09M(+14.5%)
-$30.86M(-0.9%)
Sep 2010
-
-$7.12M(+39.2%)
-$30.59M(+22.1%)
Jun 2010
-
-$11.71M(-96.5%)
-$39.27M(+24.5%)
Mar 2010
-
-$5.96M(-2.5%)
-$52.04M(+21.8%)
Dec 2009
-$66.55M(-123.4%)
-$5.81M(+63.2%)
-$66.55M(+5.8%)
Sep 2009
-
-$15.80M(+35.4%)
-$70.64M(-17.9%)
Jun 2009
-
-$24.47M(-19.6%)
-$59.94M(-44.7%)
Mar 2009
-
-$20.47M(-106.8%)
-$41.43M(-39.0%)
Dec 2008
-$29.80M(-35.5%)
-$9.90M(-94.1%)
-$29.80M(-13.8%)
Sep 2008
-
-$5.10M(+14.4%)
-$26.18M(+10.1%)
Jun 2008
-
-$5.96M(+32.5%)
-$29.11M(-8.0%)
Mar 2008
-
-$8.83M(-40.6%)
-$26.96M(-22.6%)
Dec 2007
-$21.99M(-190.3%)
-$6.28M(+21.8%)
-$21.99M(-23.8%)
Sep 2007
-
-$8.03M(-110.9%)
-$17.76M(-37.4%)
Jun 2007
-
-$3.81M(+1.4%)
-$12.93M(-43.2%)
Mar 2007
-
-$3.86M(-87.9%)
-$9.03M(-19.2%)
Dec 2006
-$7.57M(+71.2%)
-$2.06M(+35.8%)
-$7.57M(+72.6%)
Sep 2006
-
-$3.20M(-3698.9%)
-$27.61M(-2.1%)
Jun 2006
-
$89.00K(+103.7%)
-$27.03M(+2.5%)
Mar 2006
-
-$2.40M(+89.1%)
-$27.72M(-5.4%)
Dec 2005
-$26.29M(-470.7%)
-$22.09M(-740.1%)
-$26.29M(-367.3%)
Sep 2005
-
-$2.63M(-336.0%)
-$5.63M(-63.0%)
Jun 2005
-
-$603.00K(+38.2%)
-$3.45M(+16.7%)
Mar 2005
-
-$975.00K(+31.3%)
-$4.14M(+10.1%)
Dec 2004
-$4.61M(-3.0%)
-$1.42M(-212.1%)
-$4.61M(+0.9%)
Sep 2004
-
-$455.00K(+64.8%)
-$4.65M(+18.0%)
Jun 2004
-
-$1.29M(+10.1%)
-$5.67M(-5.5%)
Mar 2004
-
-$1.44M(+1.6%)
-$5.38M(-20.2%)
Dec 2003
-$4.47M(-676.4%)
-$1.46M(+0.9%)
-$4.47M(-683.9%)
Sep 2003
-
-$1.48M(-48.0%)
$766.00K(+216.5%)
Jun 2003
-
-$997.00K(-85.7%)
$242.00K(-80.5%)
Mar 2003
-
-$537.00K(-114.2%)
$1.24M(+59.7%)
Dec 2002
$776.00K(-99.4%)
$3.78M(+288.8%)
$776.00K(+125.9%)
Sep 2002
-
-$2.00M(>-9900.0%)
-$3.00M(-200.0%)
Jun 2002
-
$0.00(+100.0%)
-$1.00M(0.0%)
Mar 2002
-
-$1.00M
-$1.00M
Dec 2001
$120.93M(+2887.6%)
-
-
Dec 2000
-$4.34M(+3.5%)
-
-
Dec 1999
-$4.49M
-
-

FAQ

  • What is Safety Insurance Group, Inc. annual cash from financing?
  • What is the all-time high annual cash from financing for Safety Insurance Group, Inc.?
  • What is Safety Insurance Group, Inc. annual cash from financing year-on-year change?
  • What is Safety Insurance Group, Inc. quarterly cash from financing?
  • What is the all-time high quarterly cash from financing for Safety Insurance Group, Inc.?
  • What is Safety Insurance Group, Inc. quarterly cash from financing year-on-year change?
  • What is Safety Insurance Group, Inc. TTM cash from financing?
  • What is the all-time high TTM cash from financing for Safety Insurance Group, Inc.?
  • What is Safety Insurance Group, Inc. TTM cash from financing year-on-year change?

What is Safety Insurance Group, Inc. annual cash from financing?

The current annual cash from financing of SAFT is -$53.33M

What is the all-time high annual cash from financing for Safety Insurance Group, Inc.?

Safety Insurance Group, Inc. all-time high annual cash from financing is $120.93M

What is Safety Insurance Group, Inc. annual cash from financing year-on-year change?

Over the past year, SAFT annual cash from financing has changed by +$10.21M (+16.06%)

What is Safety Insurance Group, Inc. quarterly cash from financing?

The current quarterly cash from financing of SAFT is -$13.28M

What is the all-time high quarterly cash from financing for Safety Insurance Group, Inc.?

Safety Insurance Group, Inc. all-time high quarterly cash from financing is $5.38M

What is Safety Insurance Group, Inc. quarterly cash from financing year-on-year change?

Over the past year, SAFT quarterly cash from financing has changed by -$43.00K (-0.32%)

What is Safety Insurance Group, Inc. TTM cash from financing?

The current TTM cash from financing of SAFT is -$53.32M

What is the all-time high TTM cash from financing for Safety Insurance Group, Inc.?

Safety Insurance Group, Inc. all-time high TTM cash from financing is $1.24M

What is Safety Insurance Group, Inc. TTM cash from financing year-on-year change?

Over the past year, SAFT TTM cash from financing has changed by +$4.89M (+8.40%)
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