American Integrity Insurance (AII) Cash & Equivalents (2024 - 2025)

American Integrity Insurance (AII) posted quarterly Cash & Equivalents of $203.9 million for Q4 2025, up 17.71% YoY from $173.2 million in Q4 2024, and up 40.83% sequentially from $144.8 million in Q3 2025.

American Integrity Insurance (AII) Cash & Equivalents (2024 - 2025) Analysis & Trends

American Integrity Insurance has disclosed Cash & Equivalents across 2 years of filings, most recently posting $203.9 million for Q4 2025.

  • In Q4 2025, Cash & Equivalents rose 17.71% year-over-year to $203.9 million; the TTM figure through Dec 2025 stood at $203.9 million (up 17.71% YoY), while the FY2025 annual figure was $203.9 million, up 17.71% from the prior year.
  • Cash & Equivalents rose to $203.9 million in Q4 2025, from $144.8 million in the prior quarter.
  • Over the last five years, Cash & Equivalents for AII reached as high as $259.6 million in Q2 2025 and fell as low as $4.3 million in Q1 2025.

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Cash & Equiv. (Qtr)
1 Markel 7,105.55 Bn 7,090.09 Bn 2.38 Bn 3.68 Bn
2 Progressive 131.92 Bn 127.57 Bn 8.36 Bn 179.00 Mn
3 Chubb 78.78 Bn 71.35 Bn 8.64 Bn 2.63 Bn
4 Cincinnati Financial 74.32 Bn 73.06 Bn 2.60 Bn 1.21 Bn
5 Travelers Companies 72.03 Bn 48.11 Bn 5.54 Bn -
6 Allstate 63.08 Bn 38.49 Bn 14.72 Bn -
7 Fairfax Financial Holdings 34.53 Bn 39.18 Bn - -
8 Loews 23.53 Bn 11.27 Bn -1.32 Bn -
9 Selective Insurance 20.82 Bn 19.07 Bn 543.42 Mn -
10 American Integrity Insurance 327.47 Mn 105.45 Mn 41.74 Mn 203.90 Mn

Historic Data

Download Data
DateValue
Dec 31, 2025 203.90 Mn
Sep 30, 2025 144.78 Mn
Jun 30, 2025 259.61 Mn
Mar 31, 2025 4.31 Mn
Dec 31, 2024 173.22 Mn
Mar 31, 2024 173.22 Mn