White Mountains Insurance Group, Ltd. (WTM)

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Raymond Barrette , CEO/Chairman of the Board/Director
Industry: Finance
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Company Information

Raymond Barrette, CEO/Chairman of the Board/Director

80 South Main Street

Hanover, NH 03755-2053

US Map it

Phone: (603) 640-2200

Fax: (603) 643-4592

www.whitemountains.com



Overview

A liability company whose businesses are conducted through its property and casualty insurance and reinsurance subsidiaries and affiliates.

Employees

Number of Employees: 5,045
Revenue per Employee: $928,987

Financials

Quarterly
Annual

Income Statement 11/2008 08/2008 05/2008 02/2008
Sales NA NA NA NA
Gross Operating Profit -455 Mil. 44.4 Mil. -62.1 Mil. 1.2 Bil.
Operating Income before D & A (EBITDA) -455 Mil. 44.4 Mil. -62.1 Mil. 1.16 Bil.
Total Income Before Interest Expenses (EBIT) -459.3 Mil. 44.4 Mil. -62.1 Mil. 2.1 Bil.
Total Net Income -276.7 Mil. -9.2 Mil. -56.8 Mil. 122.7 Mil.
Basic EPS, Total -26.55 -0.87 -5.4 9.56
Diluted EPS, Total -26.55 -0.87 -5.4 9.55

BALANCE STATEMENT 11/2008 08/2008 05/2008 02/2008
Cash and Equivalents NA NA NA NA
Total Assets NA NA NA NA
Total Liabilities NA NA NA NA
Total Capitalization NA NA NA 5.91 Bil.

Cash Flow 11/2008 08/2008 05/2008 02/2008
Net Cash From Continuing Operations NA NA NA NA
Net Cash From Investing Activities 254.1 Mil. 272.1 Mil. -259 Mil. NA
Net Cash From Financing Activities -380.1 Mil. -198.6 Mil. 341.1 Mil. NA
Net Change in Cash & Cash Equivalents 7.2 Mil. 16.7 Mil. 58.3 Mil. NA

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Income Statement 2008 2007 2006 2005
Sales NA NA NA NA
Gross Operating Profit 4.73 Bil. 875.4 Mil. 423.5 Mil. 381.9 Mil.
Operating Income before D & A (EBITDA) 4.53 Bil. 875.4 Mil. 423.5 Mil. 381.9 Mil.
Total Income Before Interest Expenses (EBIT) 8.25 Bil. 875.4 Mil. 423.5 Mil. 381.9 Mil.
Total Net Income 471 Mil. 673.2 Mil. 290.1 Mil. 418.7 Mil.
Basic EPS, Total 37.96 62.51 26.96 42.28
Diluted EPS, Total 37.89 62.32 26.56 39.92

BALANCE STATEMENT 2008 2007 2006 2005
Cash and Equivalents NA NA NA NA
Total Assets NA NA NA NA
Total Liabilities NA NA NA NA
Total Capitalization 5.91 Bil. NA NA NA

Cash Flow 2008 2007 2006 2005
Net Cash From Continuing Operations NA NA NA NA
Net Cash From Investing Activities NA -344.1 Mil. 337.6 Mil. 466.5 Mil.
Net Cash From Financing Activities NA 211.5 Mil. -97 Mil. 243.4 Mil.
Net Change in Cash & Cash Equivalents NA -28.7 Mil. -55.4 Mil. 153.2 Mil.

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