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Key Metrics
Market Cap 295.19M
Total Shares Outstanding 21.16M
Book Value 14.89
PE Ratio 10.13
PS Ratio 0.89
PB Ratio 0.85
Forward PE Ratio -
ROIC 2.54
Return on Aseets 1.7
Return on Equity 9.14
Dividend -
Dividend Yield -
Balancesheet Metrics
Total Assets 1.49B
Total Liability 1.15B
Assets-to-Libability Ratio 1.3
Total Current Assets 240.07M
Total Current Liability 22.74B
Current Ratio 0.01
Quick Ratio -
Debt to Equity Ratio -
Income Statement Metrics
Net Income 64.08M
EPS 1.2
EBITA 58.93M
Gross Profit 466.99M
Gross Profit Margin 8.92%
Operating Margin 18.44%
Net Profit Margin 13.61%
Price Metrics
5 Days MA
10 Days MA
20 Days MA
50 Days MA
200 Days MA
52 Weeks High
52 Weeks low
All Time High
RSI
MACD
Share Stats
Shares Float 11.69M
Shares Short 27.30K
% Short 0.001%
% Insider 30.117%
% Institutions 48.159%
News
Top 20 Biggest Mortgage Companies in the USIn this article, we will take a look at the top 20 biggest mortgage companies in the US. If you want to skip our detailed analysis, you can go directly to the Top 5 Biggest Mortgage Companies in the US. Are US Citizens Resorting to Renting Homes? According to a report by S&P Global, mortgage origi...

BETR COOP FNMA FNMAG FNMAH FNMAI FNMAJ FNMAK FNMAL FNMAM FNMAN FNMAO FNMAS FNMAT FNMFM | finance.yahoo | about 2 years ago | Neutral
Security National Financial Corporation Reports Financial Results for the Quarter Ended September 30, 2023SALT LAKE CITY, Nov. 14, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFC) (NASDAQ symbol "SNFCA") announced financial results for the quarter ended September 30, 2023. For the three months ended September 30, 2023, SNFC’s after tax earnings increase nearly 272% from a loss ...

SNFCA | globenewswire | about 2 years ago | Neutral
Security National Financial Corporation Reports Financial Results for the Quarter Ended June 30, 2023SALT LAKE CITY, Aug. 14, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFC) (NASDAQ symbol "SNFCA") announced financial results for the quarter ended June 30, 2023. For the three months ended June 30, 2023, SNFC’s after tax earnings increase nearly 78% from $3,574,000 in 2022...

SNFCA | globenewswire | about 2 years ago | Neutral
Security National Financial Corporation set to join Russell 3000® IndexSALT LAKE CITY, June 27, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFCA) joined the broad-market Russell 3000® Index at the conclusion of the 2023 Russell indexes annual reconstitutions, effective after the US market opened on June 26, 2023. The annual Russell reconstitut...

SNFCA | globenewswire | about 2 years ago | Neutral
Security National Financial Corporation set to join Russell 3000® IndexSecurity National Financial Corporation SALT LAKE CITY, June 27, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFCA) joined the broad-market Russell 3000® Index at the conclusion of the 2023 Russell indexes annual reconstitutions, effective after the US market opened on June 26...

SNFCA | finance.yahoo | about 2 years ago | Neutral
Security National Financial Corporation Announces Stock DividendSALT LAKE CITY, June 26, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (NASDAQ: SNFCA) announces that on June 23, 2023, its Board of Directors has authorized a 5% stock dividend for stockholders of record on July 7, 2023. The stock dividend will be issued on July 14, 2023. Scot...

SNFCA | globenewswire | about 2 years ago | Neutral
Security National Financial Corporation Announces Stock DividendSecurity National Financial Corporation SALT LAKE CITY, June 26, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (NASDAQ: SNFCA) announces that on June 23, 2023, its Board of Directors has authorized a 5% stock dividend for stockholders of record on July 7, 2023. The stock dividend...

SNFCA | finance.yahoo | about 2 years ago | Neutral
Investors in Security National Financial (NASDAQ:SNFC.A) have seen solid returns of 102% over the past five yearsWhen you buy a stock there is always a possibility that it could drop 100%. But on the bright side, if you buy shares in a high quality company at the right price, you can gain well over 100%. One great example is Security National Financial Corporation (NASDAQ:SNFC.A) which saw its share price driv...

SNFC-A SNFCA | finance.yahoo | about 2 years ago | Neutral
Security National Financial Corporation Reports Financial Results for the Quarter Ended March 31, 2023SALT LAKE CITY, May 15, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFC) (NASDAQ symbol "SNFCA") announced financial results for the quarter ended March 31, 2023. For the three months ended March 31, 2023, SNFC’s after-tax earnings from operations decreased 61% from $3,229,...

SNFCA | globenewswire | about 2 years ago | Neutral
Security National Financial Corporation Reports Financial Results for the Quarter Ended March 31, 2023Security National Financial Corporation SALT LAKE CITY, May 15, 2023 (GLOBE NEWSWIRE) -- Security National Financial Corporation (SNFC) (NASDAQ symbol "SNFCA") announced financial results for the quarter ended March 31, 2023. For the three months ended March 31, 2023, SNFC’s after-tax earnings fro...

SNFCA | finance.yahoo | about 2 years ago | Neutral

Profile

Security National Financial (SNFCA)

Security National Financial Corporation engages in the life insurance, cemetery and mortuary, and mortgage businesses. The company's Life Insurance segment is involved in selling and servicing lines of life insurance, annuity products, and accident and health insurance. It offers various life insurance products, including funeral plans and interest-sensitive life insurance, as well as other traditional life, accident, and health insurance products; annuity products comprising single and flexible premium deferred annuities, and immediate annuities; and diver's accident insurance policies. This segment also cedes and assumes various risks with various authorized unaffiliated reinsurers pursuant to reinsurance treaties. Its Cemetery and Mortuary segment operates eight mortuaries and five cemeteries in Utah; one cemetery in California; and four mortuaries and one cemetery in New Mexico. This segment also offers plots, interment vaults, mausoleum crypts, markers, caskets, urns, and other death care related products; and provides professional services of funeral directors, opening and closing of graves, use of chapels and viewing rooms, and use of automobiles and clothing. The company's Mortgages segment originates and underwrites residential and commercial loans for new construction, existing homes, and real estate projects primarily in Florida, Nevada, Texas, and Utah. It offers residential mortgage lending services to real estate brokers and builders, as well as directly with consumers. Security National Financial Corporation was founded in 1965 and is headquartered in Salt Lake City, Utah.

Exchange: NASDAQ

IPO Date: 1/2/2001

Sector: Financial Services

Industry: Mortgage Finance

Employees: 1227

Address: 433 West Ascension Way, Salt Lake City, UT, United States, 84123

https://www.securitynational.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202406/30/202403/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/2022Totals
Assets
1.49M1.45M1.43M1.42M1.41M1.40M1.44M1.46M1.46M1.47M48.15M
Current Assets
240.07K194.51K248.85K152.45K199.23K185.68K488.40K495.35K437.48K436.71K11.52M
Cash And Short Term Investments
209.32K204.76K259.01K163.36K168.97K159.17K457.13K466.78K405.75K401.97K7.71M
Net Receivables
30.75K28.41K31.60K30.19K30.26K26.51K31.28K43.61K31.73K34.73K1.19M
Inventory
--233.17K-290.61K-193.55K-169.33K-152.03K-143.39K-174.83K9.10K9.04K-1.01M
Other Current Assets
-194.51K248.85K152.45K169.33K152.03K143.39K159.79K187.67K-14.77K6.77M
Non Current Assets
371.20K1.32M1.18M1.26M415.08K414.65K417.24K25.83K430.68K383.82K25.94M
Property Plant Equipment
-----19.93K20.23K30.57K20.57K20.94K2.61M
Long Term Investments
362.90K364.38K391.00K395.17K368.76K1.07M1.11M357.54K331.18K281.87K19.49M
Non Currrent Assets Other
-371.20K1.28M297.38K290.35K-415.08K-414.65K-417.24K-382.74K-430.68K-383.82K9.79M
Liabilities
1.15M1.12M1.11M1.10M1.12M1.10M1.15M1.17M1.19M1.19M40.91M
Current Liabilities
22.74M59.08K57.67K82.63K2.98K35.81M52.05M52.30K4.86K5.92K128.46M
Accounts Payable
3.23M3.30K3.56K2.94K2.98K3.22K3.30K5.36K4.86K5.92K3.43M
Short Long Term Debt
---7.73K------542.13K
Other Current Liabilities
-22.74M-17.91K38.45K53.20K-16.65K15.44M35.46M-38.81K-15.87M-15.52M-2.85M
Non Current Liabilities
1.11B1.13M1.05M1.02M126.00K1.07B1.09B1.12M4.86K5.92K3.29B
Long Term Debt
-----103.30K138.39K-201.48K200.34K5.53M
Other Liabilities
-----977.51K-966.57K958.82K953.02K27.20M
Stockholder Equity
346.32K325.77K320.10K312.90K297.89K298.76K297.03K292.79K268.86K280.49K8.68M
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
1.49M1.45M1.43M1.42M1.41M1.40M1.44M1.46M1.46M1.47M49.56M
Common Equity
-----45.73K43.39K-43.21K43.21K1.23M
Retained Earnings
-----200.08K202.73K-180.92K183.27K3.60M
Totals1.12B8.87M7.82M7.67M5.12M1.13B1.19B7.51M-8.67M-8.53M8.26M7.79M9.09M9.54M9.21M6.73M8.69M9.93M9.37M9.74M7.91M7.71M7.65M7.74M7.00M7.88M7.22M6.69M6.55M7.37M6.64M6.59M5.94M5.45M5.39M5.63M5.23M5.21M5.01M4.80M4.71M4.59M4.49M3.69B
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/201912/31/201812/31/201712/31/201612/31/201512/31/2014Totals
Assets
1.43M1.46M1.55M1.55M1.33M1.05M982.17K854.00K749.93K671.07K11.63M
Current Assets
129.81K495.35K423.81K427.34K515.99K166.57K71.74K-14.08K83.78K83.31K2.38M
Cash And Short Term Investments
163.36K466.78K390.64K400.88K491.00K147.76K45.32K66.55K56.97K57.91K2.29M
Net Receivables
30.19K43.61K33.17K26.47K24.98K19.76K23.84K31.89K29.18K26.30K289.39K
Inventory
-193.55K-174.83K-156.05K-151.31K-246.67K9.88K9.94K10.67K10.78K10.85K-870.29K
Other Current Assets
152.45K159.79K156.05K151.31K246.67K-941.6752.59K219.30K242.64K22.07K1.35M
Non Current Assets
1.30M25.83K371.63K376.20K419.32K884.24K910.43K868.08K666.16K587.76K6.41M
Property Plant Equipment
-30.57K34.00K24.14K14.60K7.01K149.37K153.96K126.29K122.72K662.66K
Long Term Investments
395.17K357.54K270.88K305.98K786.29K600.18K446.91K351.84K271.94K266.95K4.05M
Non Currrent Assets Other
1.29M-382.74K-371.63K-376.20K-419.32K600.31K627.25K596.30K448.84K377.63K2.39M
Liabilities
1.12M1.17M1.25M1.28M1.14M879.00K833.61K725.83K638.69K573.98K9.61M
Current Liabilities
94.32K52.30K11.42K10.18K6.31K856.70K764.59K768.90K591.75K544.99K3.70M
Accounts Payable
2.94K5.36K10.17K8.93K5.06K2.88K3.61K4.21K3.50K1.79K48.46K
Short Long Term Debt
7.73K62.88K1.25K1.25K1.25K47.25K88.47K249.558107.6674.04K214.48K
Other Current Liabilities
-24.42K-115.18K-202.51K-13.08M-12.61M806.57K760.98K28.92K25.20K25.51K-24.38M
Non Current Liabilities
1.12M1.12M264.54K309.65K228.93K22.30K69.01K50.96K131.01K28.99K3.34M
Long Term Debt
---297.82K217.57K187.52K157.45K152.14K40.91K29.02K1.08M
Other Liabilities
-966.57K961.33K938.26K891.27K678.89K661.93K629.26K562.95K522.75K6.81M
Stockholder Equity
312.90K292.79K299.77K263.99K196.71K171.81K148.57K132.56K111.25K97.09K2.03M
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
1.43M1.46M1.55M1.55M1.33M1.05M982.17K854.00K749.93K671.07K11.63M
Common Equity
---33.19K37.22K35.00K33.25K31.44K29.64K27.71K227.44K
Retained Earnings
---153.74K101.26K95.20K77.52K67.41K52.02K44.10K591.25K
Totals8.76M7.49M6.84M-5.50M-5.28M8.32M7.85M6.58M5.62M4.80M45.49M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202203/31/202212/31/202109/30/202106/30/202103/31/202112/31/202009/30/202006/30/202003/31/2020Totals
Revenue
95.57K102.73K111.78K119.51K116.75K122.66K136.99K146.20K118.66K79.61K2.78M
Cost Of Revenue
1.24K1.19K2.80K908.014872.7883.252663.252660.8991--87.17K
Gross Profit
94.32K101.24K108.98K118.60K115.88K478.21067136.98K146.20K118.66K79.61K2.70M
Operating Expenses
1.60K1.71K105.15K-105.37K101.20K-277.00K-277.00K108.00K91.00K78.00K1.38M
Selling General Administrative
38.38K40.63K45.41K42.44K38.23K38.19K40.08K35.20K33.50K30.41K984.44K
Research Development
-----------
Other Operating Expenses
90.84K98.29K--105.37K102.07K106.30K136.92K107.62K91.47K78.13K2.26M
Operating Income
92.73K99.53K-14.14K14.68K71.4501371.4501338.58393210.13K157.74K707.90K
Net Interest Income
-3.94K-4.57K-4.29K-4.19K-4.43K-4.76K-5.00K-5.42K-4.26K-3.77K-58.30K
Interest Income
-2.03K--------3.77K-15.41K
Interest Expense
1.90K1.73K1.80K1.81K1.69K1.83K2.52K2.36K1.88K1.82K52.26K
Other Income Expense Net
12.57K51.90K10.76K10.74K10.98K10.06K4.13K-38.55K7.17K6.85K206.08K
Income Before Tax
4.73K4.44K6.62K14.14K14.68K16.36K4.20K38.58K27.19K1.47K210.81K
Tax Provision
1.16K1.21K1.28K3.35K3.42K4.23K-112.1429.28K6.64K49.78532.67K
NetIncome
3.57K3.23K23.20K17.50K11.26K12.13K36.02K29.30K20.56K1.42K230.89K
NetIncome Applicable To Common Shares
3.57K3.23K5.34K10.79K11.26K12.13K4.31K29.30K20.56K1.42K181.18K
Ebit
6.63K6.17K8.43K224.87K16.37K18.18K6.71K40.95K27.19K1.47K470.92K
Basic EPS
-0.26-0.510.510.540.580.21.441.029.309999999999999
Totals444.86K514.70K427.27K363.89K554.91K60.84K226.81K649.09K770.35K510.47K-38.66K522.97K351.91K428.86K279.91K311.69K340.55K382.98K313.55K326.20K337.62K320.94K330.62K393.41K377.96K304.00K303.83K350.87K349.56K290.99K271.09K362.80K273.14K203.68K12.21M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202112/31/202012/31/201912/31/201812/31/201712/31/201612/31/201512/31/2014Totals
Revenue
470.70K481.46K283.06K279.62K276.93K307.21K283.16K226.94K2.61M
Cost Of Revenue
3.70K3.25K-134.02K-23.62K-21.32K-17.21K-18.06K60.76K
Gross Profit
466.99K478.21K283.06K279.62K300.55K325.66K300.37K245.00K2.68M
Operating Expenses
418.89K406.76K269.00K253.00K269.00K285.00K259.00K211.00K2.37M
Selling General Administrative
167.67K139.19K106.20K105.99K108.47K106.89K95.67K78.30K908.38K
Research Development
---------
Other Operating Expenses
-3.25K269.12K253.44K269.39K286.47K263.34K214.46K1.56M
Operating Income
-71.45K13.94K533.06K99.26K20.74K19.82K12.48K770.75K
Net Interest Income
-17.67K-18.46K-13.67K-13.38K-14.70K-13.87K---91.74K
Interest Income
---13.67K-13.38K-14.70K-14.30K-13.32K--69.37K
Interest Expense
7.13K8.58K7.39K6.96K6.04K5.11K4.46K2.99K48.65K
Other Income Expense Net
42.53K31.62K25.48K23.65K21.38K19.16K16.62K15.17K195.61K
Income Before Tax
51.80K71.45K13.94K26.18K7.53K20.74K19.82K12.48K223.95K
Tax Provision
12.28K15.85K3.05K4.49K-6.58K6.46K7.75K-43.31K
NetIncome
64.08K87.30K10.89K21.69K14.11K14.28K12.62K7.75K232.74K
NetIncome Applicable To Common Shares
39.52K55.60K10.89K21.69K14.11K12.19K12.62K7.75K174.37K
Ebit
58.93K80.03K21.33K33.14K13.57K25.85K24.28K15.48K272.60K
Basic EPS
1.563.240.530.351.50.60.750.539.06
Totals1.79M1.92M1.29M1.95M1.34M1.39M1.29M1.03M11.99M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;09/30/202406/30/202403/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/2022Totals
Cash From Operating Activities
26.79K-16.97K25.08K35.49K16.20K18.25K-16.07K21.13K11.68K25.13K298.58K
Net Income
11.83K7.27K7.47K2.86K4.04K6.35K-6.88K25.69K-2.35K3.57K287.18K
Depreciation
-739.519912.542739.519721.207750.446-749.7587.58K636.246628.30527.32K
Extraordinary Items
-----------
Change Receivables
-----------
Change To Inventory
----------273.02K
Change To Liabilities
----------10.39K
Change To Net Income
------11.18K-19.23K18.24K-171.74K
ChangeToOperatingActivities
----------466.03K
Cash flows From Investing Activities
-----31.19K17.36K--60.26K1.09K-99.06K
Capital Expenditures
-152.509-166.984-256.155-318.368-264.284-276.643-250.642-633.82-260.317-349.256-101.84K
Other Cashflows From Investing Activities
-----10.48K8.35K--526.2687.30K253.22K
Cash From Financing Activities
3.04K-2.58K-2.15K-3.58K4.11K-37.33K-25.24K-41.11K395.097-40.74K-88.14K
Net Borrowings
------35.12K-23.34K-1.11K-33.29K-122.47K
Sale Purchase Of Stock
-43.097-1.59K-41.077-3.082-251.949-1.39K-1.20K-386.614-7.27M-6.51K-7.29M
Dividends Paid
----26.08-34.019---60.099
Other Cashflows From Financing Activities
-167.916-174.712-868.256-679.168-746.81619.18K45.30K-938.3541.51K51.49K764.82K
Cash And Cash Equivalents Changes
-----12.11K-23.95K--48.18K-14.52K-6.23K
Totals40.56K-13.30K29.98K34.49K23.87K23.44K-13.95K11.33K-7.35M12.05K96.00K27.47K-7.34K31.22K167.28K-341.46K291.87K279.98K-9.94K-89.37K149.07K91.89K160.71K85.58K31.70K119.25K127.54K138.45K-48.58K12.44K113.73K147.16K23.71K-9.87K12.48K-39.30K63.76K25.81K22.91K26.81K11.76K-26.90K10.85K-5.50M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/201912/31/201812/31/201712/31/201612/31/201512/31/2014Totals
Cash From Operating Activities
53.88K130.45K144.64K-129.63K-75.60K7.01K44.32K43.86K-15.83K31.02K234.11K
Net Income
14.50K25.69K39.52K55.60K10.89K21.69K14.11K14.28K12.62K7.75K216.65K
Depreciation
9.23K17.68K20.39K17.29K12.24K10.74K9.86K7.99K6.40K5.14K116.95K
Extraordinary Items
-----------
Change Receivables
-----------
Change To Inventory
------125.43K147.53K67-273.02K
Change To Liabilities
---3.94K695.561.48K1.53K1.43K1.20K899.8511.18K
Change To Net Income
--78.13K-269.13K53.58K4.50M-2.95K-176.3872.40K1.92K4.37M
ChangeToOperatingActivities
---9.54K52.31K20.45K25.61K22.01K12.97K19.60K12.12K155.53K
Cash flows From Investing Activities
---63.61K36.14K38.10K63.31K-40.20K-55.59K15.37K-44.73K-51.21K
Capital Expenditures
-1.11K-1.60K-5.22K-1.63K-1.84K-1.28K-911.007-20.54K-3.18K-12.05K-49.37K
Other Cashflows From Investing Activities
716.34K--76.84K-4.71K189.87K73.09K24.978981.43340.7632.63K901.42K
Cash From Financing Activities
-62.04K-101.22K-55.08K71.21K24.30K26.12K2.21K10.66K9.66K6.36K-67.81K
Net Borrowings
---46.62K80.07K-110.11K295.24K5.28K4.49K11.91K10.76K251.02K
Sale Purchase Of Stock
-2.85K-7.66K-5.77K-2.97K-1.54K-215.521-382.734116.106-181.53974.024-21.38K
Dividends Paid
-143.4321.08K832.152------2.05K
Other Cashflows From Financing Activities
-2.95K-3.92K-2.69K-5.89K262.63K160.18K16.97K12.35K11.81K8.72K457.21K
Cash And Cash Equivalents Changes
----22.27K-13.20K96.43K6.33K-1.07K9.20K-7.35K68.08K
Totals724.99K59.56K18.38K-118.83K410.46K5.28M203.64K179.28K81.07K23.28K6.86M