7Baggers

The Progressive Quarterly Balance Sheets Chart

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Annual
 
 Goodwill  
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20190331 20190630 20190930 20200331 20200630 20200930 20210331 20210630 20210930 20220331 20220630 20220930 20230331 20230630 20230930 20240331 20240630 20240930 20250331 20250630 064.67129.34194.01258.69323.36388.03452.7Milllion

The Progressive Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-09-30 2023-06-30 2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2021-03-31 2020-09-30 2020-06-30 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2017-06-30 2017-03-31 2016-09-30 2016-06-30 2016-03-31 2015-09-30 2015-06-30 2015-03-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-06-30 2010-03-31 
                                         
  assets                                       
  available-for-sale securities, at fair value:                                       
  fixed maturities82,272,000,000 77,101,000,000 74,411,200,000 67,488,300,000 63,629,700,000 56,591,900,000 54,078,100,000 50,289,200,000 44,173,100,000 43,172,500,000 46,316,400,000 45,045,700,000 43,031,000,000 39,091,800,000 36,313,500,000 34,726,400,000 34,276,600,000 32,812,700,000 31,188,200,000 27,821,900,000 25,642,700,000 20,201,700,000 20,201,700,000 16,243,800,000 16,243,800,000 16,243,800,000 15,332,200,000 15,332,200,000 15,332,200,000 13,549,200,000 13,549,200,000 13,549,200,000 13,540,400,000 13,540,400,000 12,295,200,000 12,075,900,000 11,952,700,000 11,788,500,000 11,850,000,000 
  short-term investments2,103,000,000 2,595,000,000 756,500,000 733,400,000 1,326,700,000 1,795,200,000 1,494,300,000 2,524,100,000 4,237,600,000 4,611,800,000 529,900,000 1,088,700,000 1,710,600,000 2,243,100,000 4,667,800,000 4,700,500,000 2,524,200,000 1,467,400,000 1,360,900,000 2,584,700,000 2,809,700,000 2,869,400,000 2,869,400,000 3,572,900,000 3,572,900,000 3,572,900,000 2,172,000,000 2,172,000,000 2,172,000,000 2,149,000,000 2,149,000,000 2,149,000,000 1,272,600,000 1,272,600,000 2,394,100,000 1,679,200,000 1,520,100,000 1,343,500,000 1,090,800,000 
  total available-for-sale securities84,375,000,000 79,696,000,000 75,167,700,000 68,221,700,000 64,956,400,000 58,387,100,000 55,572,400,000 52,813,300,000 48,410,700,000 47,784,300,000 46,846,300,000 46,134,400,000 44,741,600,000 41,334,900,000 40,981,300,000 39,426,900,000 36,800,800,000 34,280,100,000 32,549,100,000 30,406,600,000 28,452,400,000 23,071,100,000 23,071,100,000                 
  equity securities, at fair value:                                       
  nonredeemable preferred stocks500,000,000 584,000,000 735,000,000 838,200,000 886,700,000 868,900,000 985,100,000 1,078,800,000 1,254,400,000 1,360,500,000 1,527,500,000 1,572,800,000 1,662,300,000 1,507,200,000 1,323,200,000 1,180,600,000 933,400,000 1,128,500,000 1,130,000,000 1,095,400,000 840,900,000 803,800,000 803,800,000 853,500,000 853,500,000 853,500,000 782,600,000 782,600,000 782,600,000 827,500,000 827,500,000 827,500,000 711,200,000 711,200,000 848,400,000 799,300,000 832,400,000 1,029,700,000 1,157,600,000 
  common equities3,735,000,000 3,384,000,000 3,497,000,000 3,295,600,000 3,194,900,000 2,614,500,000 2,708,100,000 2,794,300,000 2,665,300,000 2,784,700,000 4,812,600,000 4,580,200,000 4,538,900,000 4,558,500,000 3,459,800,000 3,170,400,000 2,608,100,000 3,165,100,000 3,135,500,000 3,010,500,000 3,057,300,000 3,399,800,000 3,399,800,000 2,812,400,000 2,812,400,000 2,812,400,000 2,650,500,000 2,650,500,000 2,650,500,000 2,492,300,000 2,492,300,000 2,492,300,000 2,530,500,000 2,530,500,000 1,639,200,000 2,055,100,000 2,096,500,000 1,867,900,000 1,425,000,000 
  total equity securities4,235,000,000 3,968,000,000 4,232,000,000 4,133,800,000 4,081,600,000 3,483,400,000 3,693,200,000 3,873,100,000 3,919,700,000 4,145,200,000 6,340,100,000 6,153,000,000 6,201,200,000 6,065,700,000 4,783,000,000 4,351,000,000 3,541,500,000 4,293,600,000 4,265,500,000 4,105,900,000 3,898,200,000 4,203,600,000 4,203,600,000                 
  total investments88,610,000,000 83,664,000,000 79,399,700,000 72,355,500,000 69,038,000,000 61,870,500,000 59,265,600,000 56,686,400,000 52,330,400,000 51,929,500,000 53,186,400,000 52,287,400,000 50,942,800,000 47,400,600,000 45,764,300,000 43,777,900,000 40,342,300,000 38,573,700,000 36,814,600,000 34,512,500,000 32,350,600,000 27,274,700,000 27,274,700,000 23,482,600,000 23,482,600,000 23,482,600,000 20,937,300,000 20,937,300,000 20,937,300,000 19,018,000,000 19,018,000,000 19,018,000,000 18,054,700,000 18,054,700,000 17,176,900,000 16,609,500,000 16,401,700,000 16,029,600,000 15,523,400,000 
  cash and cash equivalents125,000,000 195,000,000 136,100,000 90,200,000 154,500,000 123,500,000 163,900,000 273,700,000 350,900,000 226,100,000 272,700,000 270,600,000 99,500,000 122,900,000 90,100,000 108,000,000 369,500,000 45,900,000 91,900,000 158,000,000 121,900,000 265,000,000 265,000,000                 
  restricted cash and cash equivalents10,000,000 12,000,000 10,900,000 11,500,000 13,400,000 14,900,000 15,600,000 14,900,000 14,400,000 14,400,000 14,600,000 14,900,000 15,100,000                           
  total cash, cash equivalents, restricted cash, and restricted cash equivalents135,000,000 207,000,000 147,000,000 101,700,000 167,900,000 138,400,000 179,500,000 288,600,000 365,300,000 240,500,000 287,300,000                             
  accrued investment income636,000,000 584,000,000 560,300,000 564,100,000 464,200,000 378,100,000 354,200,000 299,500,000 217,400,000 216,700,000 193,400,000 168,600,000 179,300,000 166,000,000 181,500,000 190,800,000 171,600,000 182,500,000 187,500,000 172,100,000 159,500,000 119,700,000 119,700,000 103,900,000 103,900,000 103,900,000 102,200,000 102,200,000 102,200,000 87,300,000 87,300,000 87,300,000 89,800,000 89,800,000 88,200,000 96,400,000 96,800,000 104,300,000 109,300,000 
  premiums receivable, net of allowance16,406,000,000 16,811,000,000 15,135,400,000 14,544,500,000 14,192,500,000 12,408,000,000 12,273,300,000 12,411,400,000 10,867,700,000 10,561,800,000 10,519,000,000 10,246,700,000 9,436,200,000 9,218,800,000 8,574,300,000 7,557,400,000 7,568,300,000 7,687,200,000 7,167,100,000 7,189,800,000 6,776,600,000 5,422,500,000 5,422,500,000 4,509,200,000 4,509,200,000 4,509,200,000 3,987,700,000 3,987,700,000 3,987,700,000 3,537,500,000 3,537,500,000 3,537,500,000 3,310,700,000 3,310,700,000 3,356,000,000 3,222,100,000 3,167,500,000 2,982,600,000 2,738,400,000 
  reinsurance recoverables4,197,000,000 4,449,000,000 4,881,500,000 4,881,400,000 5,003,400,000 5,331,200,000 5,516,900,000 5,616,200,000 6,306,800,000 4,961,200,000 5,025,000,000 5,044,900,000 4,709,100,000 4,143,200,000 3,987,300,000 3,654,300,000 3,639,600,000 3,298,400,000 3,051,500,000 2,842,800,000                    
  prepaid reinsurance premiums263,000,000 306,000,000 224,000,000 290,800,000 209,800,000 235,000,000 242,900,000 269,600,000 367,500,000 464,300,000 455,100,000 661,100,000 620,000,000 667,600,000 463,400,000 361,300,000 438,200,000 458,800,000 338,000,000 446,700,000 379,600,000 203,300,000 203,300,000 170,500,000 170,500,000 170,500,000 199,300,000 199,300,000 199,300,000 85,300,000 85,300,000 85,300,000 74,900,000 74,900,000 72,800,000 71,100,000 70,000,000 86,700,000 88,100,000 
  deferred acquisition costs2,110,000,000 2,068,000,000 2,031,600,000 1,938,300,000 1,818,200,000 1,732,100,000 1,685,600,000 1,626,800,000 1,585,200,000 1,498,400,000 1,407,700,000 1,430,700,000 1,360,600,000 1,309,100,000 1,265,000,000 1,154,800,000 1,095,800,000 1,093,700,000 1,047,400,000 999,100,000 962,700,000 780,500,000 780,500,000 651,200,000 651,200,000 651,200,000 564,100,000 564,100,000 564,100,000 457,200,000 457,200,000 457,200,000 447,600,000 447,600,000 461,800,000 452,400,000 441,700,000 451,600,000 417,200,000 
  property and equipment, net of accumulated depreciation of 1,369, 1,558, and 1,461820,000,000                                       
  net federal deferred income taxes633,000,000 860,000,000 598,000,000 1,001,000,000 1,031,800,000 1,357,100,000 1,198,500,000 1,057,000,000 1,269,500,000 955,600,000 370,500,000 110,700,000 219,400,000 241,500,000                          
  other assets1,670,000,000 1,606,000,000 1,536,200,000 1,502,200,000 1,445,800,000 979,600,000 934,000,000 893,800,000 827,600,000 779,400,000 825,400,000 747,600,000 776,100,000 697,500,000 744,100,000 758,300,000 722,800,000 757,800,000 738,900,000 671,900,000 396,900,000 412,900,000 412,900,000 339,600,000 339,600,000 339,600,000 335,800,000 335,800,000 335,800,000 288,500,000 288,500,000 301,400,000 304,300,000 304,300,000 235,300,000 195,200,000 200,700,000 198,900,000 251,900,000 
  total assets115,480,000,000 111,409,000,000 105,202,500,000 97,893,000,000 94,127,900,000 85,652,600,000 82,945,200,000 80,407,100,000 75,524,200,000 73,057,200,000 73,929,600,000 72,618,100,000 69,824,300,000 65,413,300,000 62,890,800,000 59,406,100,000 56,265,200,000 54,008,100,000 51,324,200,000 48,850,300,000 45,543,700,000 38,701,200,000 38,701,200,000 33,427,500,000 33,427,500,000 33,427,500,000 29,819,300,000 29,819,300,000 29,819,300,000 25,787,600,000 25,787,600,000 25,787,600,000 24,408,200,000 24,408,200,000 23,429,300,000 22,719,000,000 22,269,300,000 21,807,600,000 21,150,300,000 
  liabilities and shareholders’ equity                                       
  unearned premiums26,335,000,000 26,612,000,000 24,772,500,000 23,680,400,000 22,907,300,000 20,761,700,000 20,070,100,000 19,844,300,000 17,796,900,000 17,274,800,000 16,991,400,000 16,671,400,000 15,555,900,000 15,045,900,000 14,199,300,000 13,055,600,000 12,641,100,000 12,526,500,000 11,796,700,000 11,603,600,000 11,009,200,000 8,903,500,000 8,903,500,000 7,468,300,000 7,468,300,000 7,468,300,000 6,621,800,000 6,621,800,000 6,621,800,000 5,440,100,000 5,440,100,000 5,440,100,000 5,174,500,000 5,174,500,000 5,203,400,000 5,014,600,000 4,880,600,000 4,704,300,000 4,353,800,000 
  loss and loss adjustment expense reserves41,154,000,000 39,822,000,000 38,061,500,000 36,605,200,000 34,831,000,000 33,577,300,000 32,753,300,000 31,026,400,000 30,631,800,000 27,812,000,000 26,754,200,000 25,926,300,000 23,895,600,000 21,063,700,000 19,589,200,000 18,512,000,000 18,306,500,000 17,370,000,000 16,568,600,000 15,876,600,000 14,620,800,000 13,086,900,000 13,086,900,000 11,368,000,000 11,368,000,000 11,368,000,000 10,039,000,000 10,039,000,000 10,039,000,000 8,857,400,000 8,857,400,000 8,857,400,000 8,479,700,000 8,479,700,000 7,760,200,000 7,573,200,000 7,337,400,000 7,142,600,000 7,071,000,000 
  accounts payable, accrued expenses, and other liabilities8,492,000,000 9,127,000,000 8,317,400,000 7,376,300,000 7,688,600,000 7,030,700,000 6,524,000,000 6,278,700,000 5,931,900,000 5,931,200,000 6,688,700,000 6,394,900,000 6,021,800,000 5,770,400,000 5,405,800,000 5,576,100,000 5,346,500,000 5,222,900,000 4,867,500,000 4,594,300,000 3,924,100,000 3,481,000,000 3,481,000,000 2,495,500,000 2,495,500,000 2,495,500,000 2,067,800,000 2,067,800,000 2,067,800,000 1,893,800,000 1,893,800,000 1,893,800,000 1,785,000,000 1,785,000,000 1,848,400,000 1,781,800,000 1,709,600,000 1,652,100,000 1,718,400,000 
  debt16,895,000,000 6,894,000,000 6,891,800,000 6,890,700,000 6,889,700,000 6,887,600,000 6,886,500,000 6,389,300,000 6,387,400,000 6,386,500,000 6,385,600,000 4,898,200,000 5,397,500,000 5,396,800,000 5,395,400,000 5,394,700,000 5,394,000,000 4,406,500,000 4,406,000,000 4,405,400,000 3,859,900,000 3,306,300,000 3,306,300,000    2,707,900,000 2,707,900,000 2,707,900,000 2,164,700,000 2,164,700,000 2,164,700,000 1,860,900,000 1,860,900,000 2,062,700,000 2,062,800,000 2,080,000,000 1,959,100,000 1,958,200,000 
  total liabilities82,876,000,000 82,455,000,000 78,043,200,000 74,552,600,000 72,316,600,000 68,257,300,000 66,233,900,000 63,538,700,000 60,748,000,000 57,404,500,000 56,878,400,000 54,060,000,000 51,148,700,000 47,576,800,000 44,803,600,000 42,735,500,000 41,688,100,000 39,661,900,000 37,773,300,000 36,518,400,000 33,467,500,000 28,912,700,000 28,912,700,000 24,986,700,000 24,986,700,000 24,986,700,000 22,065,000,000 22,065,000,000 22,065,000,000 18,859,000,000 18,859,000,000 18,859,000,000 18,218,700,000 18,218,700,000 16,874,700,000 16,432,400,000 16,018,900,000 15,458,100,000 15,101,400,000 
  common shares, 1.00 par value586,000,000 586,000,000 585,800,000 585,700,000 585,700,000 585,000,000 585,300,000 585,400,000 585,100,000 584,900,000 584,900,000 585,000,000 585,200,000 585,200,000 585,600,000 585,400,000 585,300,000 584,600,000 584,100,000 584,000,000 583,100,000 581,700,000 581,700,000 579,900,000 579,900,000 579,900,000 583,600,000 583,600,000 583,600,000 587,800,000 587,800,000 587,800,000 595,800,000 595,800,000 604,700,000 609,200,000 611,200,000 642,700,000 662,400,000 
  paid-in capital2,192,000,000 2,160,000,000 2,096,200,000 2,060,500,000 2,028,700,000 1,977,900,000 1,935,700,000 1,907,700,000 1,839,600,000 1,815,200,000 1,788,600,000 1,735,900,000 1,712,300,000 1,685,500,000 1,629,400,000 1,614,500,000 1,601,900,000 1,539,100,000 1,523,300,000 1,496,600,000 1,443,400,000 1,389,200,000 1,389,200,000 1,303,400,000 1,303,400,000 1,303,400,000 1,218,800,000 1,218,800,000 1,218,800,000 1,184,300,000 1,184,300,000 1,184,300,000 1,142,000,000 1,142,000,000 1,048,600,000 1,040,400,000 1,029,400,000 1,007,700,000 1,007,100,000 
  retained earnings29,921,000,000 26,732,000,000 24,631,700,000 22,410,000,000 21,020,500,000 17,380,900,000 16,350,400,000 16,080,100,000 14,987,500,000 14,967,700,000 15,569,600,000 15,390,000,000 15,401,000,000 14,679,600,000 14,427,700,000 13,001,800,000 11,266,200,000 10,995,200,000 10,276,400,000 9,358,100,000 9,602,100,000 6,031,700,000 6,031,700,000 5,140,400,000 5,140,400,000 5,140,400,000 4,686,600,000 4,686,600,000 4,686,600,000 4,133,400,000 4,133,400,000 4,133,400,000 3,500,000,000 3,500,000,000 3,996,200,000 3,794,300,000 3,715,000,000 3,835,600,000 3,595,700,000 
  accumulated other comprehensive income:                                       
  net unrealized gains on fixed-maturity securities-81,000,000 -509,000,000 -139,700,000 -1,700,900,000 -1,808,600,000 -3,027,300,000 -2,638,700,000 -2,183,100,000 -3,113,800,000 -2,193,500,000 -1,370,700,000 369,000,000 498,800,000 407,700,000 966,400,000 991,000,000 423,600,000 531,000,000 472,900,000 195,500,000                    
  net unrealized losses on forecasted transactions-13,000,000 -14,000,000 100,000 100,000 100,000 200,000 100,000 100,000 100,000 -14,700,000 200,000 100,000 -15,100,000 -15,400,000 -15,800,000       -14,800,000 -14,800,000 -9,400,000 -9,400,000 -9,400,000 -8,200,000 -8,200,000            
  foreign currency translation adjustment-1,000,000 -1,000,000 100,000 -1,100,000 -200,000 -1,000,000 200,000 -1,200,000 -700,000 -400,000 200,000 -200,000 -500,000        -1,100,000 -1,100,000 -1,100,000 -1,500,000 -1,500,000 -1,500,000 -300,000 -300,000 -300,000 600,000 600,000 2,100,000 1,700,000 2,300,000 2,200,000 1,700,000 
  total accumulated other comprehensive income-95,000,000 -524,000,000 -154,400,000 -1,715,800,000 -1,823,600,000 -3,042,400,000 -2,654,000,000 -2,198,700,000 -3,129,900,000 -2,209,000,000 -1,385,800,000 353,300,000 483,200,000              800,400,000 800,400,000 800,400,000 1,023,100,000 1,023,100,000 1,023,100,000 951,700,000 951,700,000 905,100,000 842,700,000 894,800,000 863,500,000 783,700,000 
  total shareholders’ equity32,604,000,000 28,954,000,000 27,159,300,000 23,340,400,000 21,811,300,000 17,395,300,000 16,711,300,000 16,868,400,000 14,776,200,000 15,652,700,000 17,051,200,000 18,558,100,000 18,675,600,000 17,836,500,000 18,087,200,000 16,670,600,000 14,351,500,000 14,123,300,000 13,330,800,000 12,110,700,000 11,858,800,000 9,284,800,000 9,284,800,000 7,957,100,000 7,957,100,000 7,957,100,000 7,289,400,000 7,289,400,000 7,289,400,000 6,928,600,000 6,928,600,000 6,928,600,000 6,189,500,000 6,189,500,000 6,554,600,000 6,286,600,000 6,250,400,000 6,349,500,000 6,048,900,000 
  total liabilities and shareholders’ equity115,480,000,000 111,409,000,000 105,202,500,000 97,893,000,000 94,127,900,000 85,652,600,000 82,945,200,000 80,407,100,000 75,524,200,000 73,057,200,000 73,929,600,000 72,618,100,000 69,824,300,000                   25,787,600,000 24,408,200,000 24,408,200,000 23,429,300,000 22,719,000,000 22,269,300,000 21,807,600,000 21,150,300,000 
  property and equipment, net of accumulated depreciation of 1,490, 1,580, and 1,461 854,000,000                                      
  revenues                                       
  net premiums earned  18,296,700,000 17,209,500,000 16,148,600,000 14,894,300,000 14,464,400,000 13,533,100,000 12,398,900,000 12,147,900,000 11,802,900,000 11,364,800,000                            
  investment income  739,500,000 685,000,000 617,600,000 510,200,000 454,500,000 419,600,000 333,600,000 292,400,000 242,200,000 208,900,000                            
  net realized gains on securities:                                       
  net realized gains on security sales  68,000,000 -226,400,000 -146,500,000 -66,200,000 135,100,000 -30,300,000 -62,100,000 546,600,000 -54,500,000 53,900,000                            
  net holding period gains on securities  219,400,000 100,100,000 302,100,000 -80,500,000 -6,000,000 104,400,000 -152,100,000 -1,722,200,000 -388,600,000 -15,900,000                            
  net impairment losses recognized in earnings  -2,300,000 -2,200,000 -2,300,000 -2,200,000 -2,100,000 -2,200,000 -1,200,000                            
  total net realized gains on securities  287,400,000 -126,300,000 155,600,000 -149,000,000 126,900,000 71,800,000 -216,400,000 -1,177,700,000 -445,300,000 36,800,000                            
  fees and other revenues  278,100,000 259,800,000 236,500,000 223,700,000 226,700,000 206,200,000 181,400,000 176,500,000 174,000,000 174,900,000                            
  service revenues  117,300,000 106,300,000 84,200,000 81,400,000 81,000,000 72,500,000 82,700,000 80,100,000 67,700,000 73,800,000                            
  total revenues  19,719,000,000 18,134,300,000 17,242,500,000 15,560,600,000 15,353,500,000 14,303,200,000 12,780,200,000 11,519,200,000 11,841,500,000 11,859,200,000                            
  expenses                                       
  losses and loss adjustment expenses  12,510,300,000 12,595,300,000 10,971,600,000 11,387,900,000 12,170,100,000 10,624,000,000 10,018,700,000 9,421,100,000 8,858,400,000 9,250,700,000                            
  policy acquisition costs  1,390,200,000 1,307,600,000 1,232,200,000 1,173,200,000 1,153,600,000 1,115,800,000 970,900,000 933,600,000 963,400,000 951,500,000                            
  other underwriting expenses  2,669,900,000 2,179,800,000 1,931,400,000 1,420,700,000 1,431,700,000 1,857,900,000 1,496,400,000 1,431,200,000 1,506,300,000 1,384,400,000                            
  investment expenses  7,200,000 7,300,000 5,700,000 7,200,000 6,100,000 5,500,000 5,800,000 5,900,000 5,700,000 6,600,000                            
  service expenses  126,700,000 114,300,000 92,100,000 91,700,000 90,600,000 82,300,000 82,800,000 75,500,000 63,200,000 72,800,000                            
  interest expense  69,900,000 69,600,000 69,600,000 69,700,000 65,700,000 63,300,000 63,100,000 63,000,000 54,300,000 54,200,000                            
  total expenses  16,774,200,000 16,273,900,000 14,302,600,000 14,150,400,000 14,917,800,000 13,748,800,000 12,637,700,000 12,155,100,000 11,451,300,000 11,720,200,000                            
  net income  2,333,400,000 1,458,700,000 2,331,400,000 1,121,300,000 345,400,000 447,900,000 124,100,000 -542,900,000 313,900,000 118,500,000                            
  income before income taxes  2,944,800,000 1,860,400,000 2,939,900,000 1,410,200,000 435,700,000 554,400,000 142,500,000 -635,900,000 390,200,000 139,000,000                            
  benefit from income taxes  611,400,000 401,700,000 608,500,000 288,900,000  106,500,000 18,400,000  76,300,000 20,500,000                            
  other comprehensive income  1,561,400,000 107,800,000 -207,900,000 -388,400,000 -455,300,000 603,300,000 -920,900,000 -823,200,000 -1,426,500,000 -129,900,000                            
  changes in:                                       
  total net unrealized gains on fixed-maturity securities  1,561,200,000 107,700,000 -207,800,000 -388,600,000 -455,600,000 603,200,000 -920,300,000 -822,800,000 -1,426,900,000 -129,800,000                            
  comprehensive income  3,894,800,000 1,566,500,000 2,123,500,000 732,900,000 -109,900,000 1,051,200,000 -796,800,000 -1,366,100,000 -1,112,600,000 -11,400,000                            
  computation of earnings per common share                                       
  less: preferred share dividends and other1  17,000,000                                   
  net income available to common shareholders  2,333,400,000 1,458,700,000 2,314,400,000 1,110,900,000 335,900,000 440,600,000 117,400,000 -549,600,000 307,200,000 111,800,000                            
  average common shares outstanding - basic  585,600,000 585,400,000 585,400,000 584,800,000 584,900,000 584,900,000 584,500,000 584,300,000 584,300,000 584,700,000                            
  net effect of dilutive stock-based compensation  2,000,000 2,000,000 1,900,000 2,700,000 2,100,000 2,100,000 2,600,000 2,200,000 2,000,000 2,400,000                            
  total average equivalent common shares - diluted  587,600,000 587,400,000 587,300,000 587,500,000 587,000,000 587,000,000 587,100,000 586,500,000 586,300,000 587,100,000                            
  basic: earnings per common share  3,980,000 2,490,000 3,950,000 1,900,000 570,000 750,000 200,000 -940,000 530,000 190,000                            
  diluted: earnings per common share  3,970,000 2,480,000 3,940,000 1,890,000 570,000 750,000 200,000 -940,000 520,000 190,000                            
  property and equipment, net of accumulated depreciation of 1,589.7, 1,596.9, and 1,655.1  688,800,000                                     
  serial preferred shares                                       
  serial preferred shares, series b, no par value  493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000 493,900,000                 
  property and equipment, net of accumulated depreciation of 1,557.7, 1,580.1, and 1,655.1   713,500,000                                    
  property and equipment, net of accumulated depreciation of 1,580.2, 1,576.2, and 1,655.1    756,300,000                                   
  goodwill impairment                                     
  less: preferred share dividends1     10,400,000 9,500,000 7,300,000                                
  property and equipment, net of accumulated depreciation of 1,596.9, 1,499.0, and 1,551.1     919,800,000                                  
  goodwill     227,900,000 227,900,000 227,900,000 227,900,000 227,900,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 452,700,000 449,400,000 449,400,000 449,400,000 447,600,000 447,600,000 447,600,000 1,600,000 1,600,000         
  intangible assets, net of accumulated amortization of 170.0, 153.1, and 158.6     74,900,000                                  
  benefit for income taxes      90,300,000   -93,000,000                              
  property and equipment, net of accumulated depreciation of 1,580.1, 1,512.6, and 1,551.1      989,000,000                                 
  intangible assets, net of accumulated amortization of 167.1, 147.7, and 158.6      77,800,000                                 
  property and equipment, net of accumulated depreciation of 1,576.2, 1,455.7, and 1,551.1       949,000,000                                
  intangible assets, net of accumulated amortization of 164.0, 142.2, and 158.6       80,900,000                                
  goodwill impairment1        224,800,000                              
  less: preferred share dividends        6,700,000 6,700,000 6,700,000 6,700,000                            
  property and equipment, net of accumulated depreciation of 1,499.0, 1,422.2, and 1,407.4        1,067,100,000                               
  intangible assets, net of accumulated amortization of 153.1, 369.2, and 383.8        91,800,000                               
  property and equipment, net of accumulated depreciation of 1,512.6, 1,396.5, and 1,407.4         1,124,700,000                              
  intangible assets, net of accumulated amortization of 147.7, 354.6, and 383.8         97,200,000                              
  property and equipment, net of accumulated depreciation of 1,455.7, 1,318.5, and 1,407.4          1,104,400,000                             
  intangible assets, net of accumulated amortization of 142.2, 340.3, and 383.8          102,700,000                             
  dividends payable on common shares          58,500,000 58,500,000 58,500,000 58,500,000                          
  policyholder credit expense                                      
  total cash, cash equivalents, and restricted cash           285,500,000 114,600,000 123,200,000 91,100,000 109,100,000 370,400,000 46,200,000 92,900,000 158,700,000 122,700,000 275,300,000 275,300,000                 
  property and equipment, net of accumulated depreciation of 1,422.2, 1,264.5, and 1,291.4           1,161,000,000                            
  intangible assets, net of accumulated amortization of 369.2, 312.0, and 326.1           131,900,000                            
  liabilities                                       
  shareholders’ equity                                       
  property and equipment, net of accumulated depreciation of 1,396.5, 1,241.7, and 1,291.4            1,086,400,000                           
  intangible assets, net of accumulated amortization of 354.6, 297.8, and 326.1            146,500,000                           
  restricted cash             300,000 1,000,000 1,100,000 900,000 300,000 1,000,000 700,000 800,000 10,300,000 10,300,000    300,000             
  property and equipment, net of accumulated depreciation of 1,318.5, 1,191.6, and 1,291.4             1,077,400,000                          
  intangible assets, net of accumulated amortization of 340.3, 328.5, and 326.1             157,200,000                          
  redeemable noncontrolling interest                                    
  accumulated other comprehensive income attributable to nci                                      
  total accumulated other comprehensive income attributable to progressive             392,300,000 950,600,000 975,000,000 404,200,000 510,500,000 453,100,000 178,100,000  1,282,200,000 1,282,200,000 933,400,000 933,400,000 933,400,000              
  total liabilities, redeemable nci, and shareholders’ equity             65,413,300,000 62,890,800,000 59,406,100,000 56,265,200,000 54,008,100,000 51,324,200,000 48,850,300,000 45,543,700,000 38,701,200,000 38,701,200,000 33,427,500,000 33,427,500,000 33,427,500,000 29,819,300,000 29,819,300,000 29,819,300,000 25,787,600,000 25,787,600,000         
  property and equipment, net of accumulated depreciation of 1,264.5, 1,085.3, and 1,138.1              1,181,600,000                         
  intangible assets, net of accumulated amortization of 312.0, 299.4, and 314.0              185,500,000                         
  net deferred income taxes              213,900,000 197,100,000 34,600,000 136,000,000 134,500,000 38,500,000 53,500,000 135,000,000 135,000,000 111,300,000 111,300,000 111,300,000 109,300,000 109,300,000 109,300,000 98,900,000 98,900,000 98,900,000 28,400,000 28,400,000      
  redeemable noncontrolling interest (nci)2              225,600,000 222,900,000 220,100,000 221,200,000 217,400,000 503,700,000 503,700,000    464,900,000 464,900,000 464,900,000           
  accumulated other comprehensive (income) loss attributable to nci                  3,600,000 2,000,000 2,000,000 4,300,000 4,300,000 4,300,000              
  property and equipment, net of accumulated depreciation of 1,241.7, 1,105.6, and 1,138.1               1,189,800,000                        
  intangible assets, net of accumulated amortization of 297.8, 283.6, and 314.0               199,700,000                        
  property and equipment, net of accumulated depreciation of 1,191.6, 1,064.9, and 1,138.1                1,215,100,000                       
  intangible assets, net of accumulated amortization of 328.5, 265.6, and 314.0                213,800,000                       
  property and equipment, net of accumulated depreciation of 1,085.3, 1,004.6, and 1,033.2                 1,214,200,000                      
  intangible assets, net of accumulated amortization of 299.4, 229.7, and 247.7                 242,900,000                      
  property and equipment, net of accumulated depreciation of 1,105.6, 984.7, and 1,033.2                  1,174,900,000                     
  intangible assets, net of accumulated amortization of 283.6, 211.7, and 247.7                  258,700,000                     
  property and equipment, net of accumulated depreciation of 1,064.9, 973.8, and 1,033.2                   1,127,300,000                    
  intangible assets, net of accumulated amortization of 265.6, 193.7, and 247.7                   276,700,000                    
  reinsurance recoverables, including 114.1, 76.4, and 103.3 on paid losses and loss adjustment expenses                    2,490,500,000                   
  property and equipment, net of accumulated depreciation of 1,004.6, 908.4, and 940.6                    1,139,300,000                   
  intangible assets, net of accumulated amortization of 229.7, 157.7, and 175.7                    312,600,000                   
  net unrealized gains on securities                     1,295,000,000 1,295,000,000 939,600,000 939,600,000 939,600,000 809,000,000 809,000,000 809,000,000 1,021,900,000 1,021,900,000         
  reinsurance recoverables, including 117.6, 79.2, and 103.3 on paid losses and loss adjustment expenses                     2,273,400,000                  
  property and equipment, net of accumulated depreciation of 984.7, 894.7, and 940.6                     1,119,600,000                  
  intangible assets, net of accumulated amortization of 211.7, 140.5, and 175.7                     366,600,000                  
  reinsurance recoverables, including 102.1, 88.6, and 103.3 on paid losses and loss adjustment expenses                      2,273,400,000                 
  property and equipment, net of accumulated depreciation of 973.8, 881.7, and 940.6                      1,119,600,000                 
  intangible assets, net of accumulated amortization of 193.7, 125.0, and 175.7                      366,600,000                 
  investments - available-for-sale, at fair value:                                       
  equity securities:                                       
  cash                       211,500,000 211,500,000 211,500,000 224,100,000 224,400,000 224,400,000 108,400,000 108,400,000 108,400,000 75,100,000 75,100,000 192,200,000 165,500,000 156,000,000 149,700,000 158,900,000 
  restricted cash1                       14,900,000 14,900,000 14,900,000              
  reinsurance recoverables, including 76.4, 67.5, and 83.8 on paid losses and loss adjustment expenses                       1,884,800,000                
  property and equipment, net of accumulated depreciation of 908.4, 830.1, and 845.8                       1,177,100,000                
  intangible assets, net of accumulated amortization of 157.7, 94.0, and 109.5                       432,800,000                
  dividends payable                       395,400,000 395,400,000 395,400,000 519,200,000 519,200,000 519,200,000 404,100,000 404,100,000 404,100,000 890,200,000 890,200,000      
  debt2                       3,148,200,000 3,148,200,000 3,148,200,000              
  redeemable noncontrolling interest (nci)3                       483,700,000 483,700,000 483,700,000              
  reinsurance recoverables, including 79.2, 73.8, and 83.8 on paid losses and loss adjustment expenses                        1,884,800,000               
  property and equipment, net of accumulated depreciation of 894.7, 824.0, and 845.8                        1,177,100,000               
  intangible assets, net of accumulated amortization of 140.5, 78.5, and 109.5                        432,800,000               
  reinsurance recoverables, including 88.6, 59.5, and 83.8 on paid losses and loss adjustment expenses                         1,884,800,000              
  property and equipment, net of accumulated depreciation of 881.7, 799.6, and 845.8                         1,177,100,000              
  intangible assets, net of accumulated amortization of 125.0, 62.9, and 109.5                         432,800,000              
  shareholders' equity                                       
  reinsurance recoverables, including 67.5, 46.1, and 46.1 on paid losses and loss adjustment expenses                          1,488,800,000             
  property and equipment, net of accumulated depreciation of 830.1, 758.8, and 778.3                          1,037,200,000             
  intangible assets, net of accumulated amortization of 94.0, 31.8, and 47.4                          494,900,000             
  accumulated other comprehensive income, net of tax:                                       
  accumulated other comprehensive (income) loss attributable to noncontrolling interest                          1,100,000 1,100,000 1,100,000         
  reinsurance recoverables, including 73.8, 46.2, and 46.1 on paid losses and loss adjustment expenses                           1,488,800,000            
  property and equipment, net of accumulated depreciation of 824.0, 770.3, and 778.3                           1,037,200,000            
  intangible assets, net of accumulated amortization of 78.5, 16.3, and 47.4                           494,900,000            
  reinsurance recoverables, including 59.5, 50.8, and 46.1 on paid losses and loss adjustment expenses                            1,488,800,000           
  property and equipment, net of accumulated depreciation of 799.6, 742.7, and 778.3                            1,037,200,000           
  intangible assets, net of accumulated amortization of 62.9, 0.6, and 47.4                            494,900,000           
  net unrealized gains on forecasted transactions                            -8,200,000 1,500,000 1,500,000 1,500,000 4,100,000 4,100,000 6,400,000 6,700,000 7,300,000 13,100,000 14,700,000 
  reinsurance recoverables, including 46.1, 39.4, and 46.0 on paid losses and loss adjustment expenses                             1,231,900,000          
  property and equipment, net of accumulated depreciation of 758.8, 715.9, and 731.0                             960,600,000          
  intangible assets, net of accumulated amortization of 31.8, 0.6, and 0.6                             11,300,000          
  reinsurance recoverables, including 46.2, 36.2, and 46.0 on paid losses and loss adjustment expenses                              1,231,900,000         
  property and equipment, net of accumulated depreciation of 770.3, 706.3, and 731.0                              960,600,000         
  intangible assets, net of accumulated amortization of 16.3, 0.6, and 0.6                              11,300,000         
  reinsurance recoverables, including 50.8, 34.5, and 46.0 on paid losses and loss adjustment expenses                               1,231,900,000        
  property and equipment, net of accumulated depreciation of 742.7, 687.1, and 731.0                               960,600,000        
  net non-credit related otti losses, adjusted for valuation changes                               -600,000 -2,300,000 -2,400,000 -4,900,000 -1,800,000 
  other net unrealized gains on securities                               1,021,900,000 947,000,000 947,000,000 897,200,000 836,600,000 887,600,000 853,100,000 769,100,000 
  total net unrealized gains on securities                               1,021,900,000 947,000,000 947,000,000 896,600,000 834,300,000 885,200,000 848,200,000 767,300,000 
  reinsurance recoverables, including 39.4, 36.4, and 44.3 on paid losses and loss adjustment expenses                                1,090,200,000       
  property and equipment, net of accumulated depreciation of 715.9, 665.8, and 680.4                                960,900,000       
  reinsurance recoverables, including 34.5, 32.4, and 44.3 on paid losses and loss adjustment expenses                                 1,090,200,000      
  property and equipment, net of accumulated depreciation of 687.1, 642.3, and 680.4                                 960,900,000      
  investments—available-for-sale, at fair value:                                       
  reinsurance recoverables, including 32.5, 36.5, and 32.3 on paid losses and loss adjustment expenses                                  880,500,000     
  income taxes                                  47,400,000 147,800,000 11,300,000 111,400,000 189,000,000 
  property and equipment, net of accumulated depreciation of 603.7, 561.7, and 573.8                                  918,200,000     
  reinsurance recoverables, including 30.4, 34.3, and 32.3 on paid losses and loss adjustment expenses                                   844,700,000    
  property and equipment, net of accumulated depreciation of 606.6, 596.4, and 573.8                                   914,300,000    
  reinsurance recoverables, including 41.6, 34.9, and 32.3 on paid losses and loss adjustment expenses                                    818,500,000   
  property and equipment, net of accumulated depreciation of 591.4, 581.1, and 573.8                                    916,400,000   
  reinsurance recoverables, including 34.3, 35.7, and 37.4 on paid losses and loss adjustment expenses                                     775,700,000  
  property and equipment, net of accumulated depreciation of 596.4, 618.8, and 564.3                                     917,100,000  
  reinsurance recoverables, including 34.9, 40.4, and 37.4 on paid losses and loss adjustment expenses                                      741,500,000 
  property and equipment, net of accumulated depreciation of 581.1, 606.1, and 564.3                                      932,600,000 

We provide you with 20 years of balance sheets for The Progressive stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of The Progressive. Explore the full financial landscape of The Progressive stock with our expertly curated balance sheets.

The information provided in this report about The Progressive stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.