FG Financial Group – FGF

FG Financial Group, Inc operates as a reinsurance and investment management holding company in the United States.

infoFG Financial Group is a micro cap stock with a total market cap of 14.63M.

infoThey trade on the NASDAQ and had their IPO 9 years and 4 months ago.

infoFG Financial Group currently employs 7 people.

infoAs of Thursday, Jul 27 2023, FG Financial Group’s share price is $1.42.

newspaper
News Relating to FG Financial Group
Newsfile Corp
FG Financial Group, Inc. to Present at the ThinkEquity Conference

Wednesday Oct 19 2022 at 07:30

St. Petersburg, Florida–(Newsfile Corp. – October 19, 2022) – FG Financial Group, Inc. (NASDAQ: FGF) (the “Company”), today announced that management will present at the ThinkEquity Conference at the Mandarin Oriental Hotel in New York City on Wednesday, October 26, 2022.The event is a leading small cap investor conference, showcasing over 70 small and micro-cap companies.Management will give a Company presentation at 1:30 pm ET and be available for one-on-one meetings throughout the day.


Business Wire
FG Financial Group, Inc. Reports Second Quarter 2021 Financial Results

Monday Aug 16 2021 at 09:00

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Financial Group, Inc. (Nasdaq:FGF) (the “Company”), a reinsurance and investment management holding company focused on opportunistic collateralized and loss capped reinsurance, while allocating capital to SPAC and SPAC sponsor-related businesses, today announced results for the second quarter and six months ended June 30, 2021. FGF CEO Larry Swets, Jr. commented, “During the second quarter we made considerable progress advancing our complementary SPAC a


Business Wire
FG Financial Group Declares Cash Dividend on Its 8.00% Cumulative Preferred Stock, Series A

Friday Aug 13 2021 at 16:10

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Financial Group, Inc. (Nasdaq: FGF, FGFPP) (the “Company”), a reinsurance and investment management holding company focused on opportunistic collateralized and loss capped reinsurance, while allocating capital to SPAC and SPAC sponsor-related businesses, today announced that it has declared a quarterly cash dividend on its 8.00% Cumulative Preferred Stock, Series A (the “Preferred Stock”), for the period commencing on June 15, 2021 and ending on Septemb


Seeking Alpha
FGNA: OppFi, Not All SPACs Are Created Equal

Friday Jun 04 2021 at 01:57

FGNA: OppFi, Not All SPACs Are Created Equal


Seeking Alpha
FG Financial: Massive Upside Embedded In FGF’s SPAC Platform

Thursday Jun 03 2021 at 07:24

FG Financial: Massive Upside Embedded In FGF’s SPAC Platform


Business Wire
FG Financial Group, Inc. Announces Closing of Public Offering, Including Full Exercise of Underwriters’ Over-allotment Option

Friday May 21 2021 at 12:24

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Financing Closed


Business Wire
FG Financial Group, Inc. Announces Pricing of Public Offering

Tuesday May 18 2021 at 18:32

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Pricing Release


Business Wire
FG Financial Group, Inc. Reports First Quarter 2021 Financial Results

Friday May 14 2021 at 16:34

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Financial Group, Inc. (Nasdaq:FGF) (the “Company”), a reinsurance and investment management holding company focused on opportunistic collateralized and loss capped reinsurance, while allocating capital to SPAC and SPAC sponsor-related businesses, today announced results for the first quarter ended March 31, 2021. Management Commentary FGF CEO Larry Swets, Jr. commented, “In the first quarter we continued to advance our multi-pronged strategy, coupling a


Business Wire
FG Financial Group, Inc. Declares Cash Dividend on Its 8.00% Cumulative Preferred Stock, Series A

Friday May 14 2021 at 13:00

ST. PETERSBURG, Fla.–(BUSINESS WIRE)–FG Financial Group, Inc. (Nasdaq:FGF) (the “Company”), a reinsurance and investment management holding company focused on opportunistic collateralized and loss capped reinsurance, while allocating capital to SPAC and SPAC sponsor-related businesses, announced today that it has declared a quarterly cash dividend on its 8.00% Cumulative Preferred Stock, Series A (the “Preferred Stock”), for the period commencing on March 15, 2021 and ending on June 14, 2021.


Pulse2
FG Financial Group Stock Price Increased Over 20% Pre-Market: Details About The Company

Monday Apr 05 2021 at 06:46

The stock price of FG Financial Group (NASDAQ: FGF) increased by over 20% pre-market. These are some of the details about the company you should know about.

crisis_alert
FG Financial Group Bankruptcy Risk

The Altman Z-score is a formula that measures a company’s financial health and bankruptcy risk. It assigns a numerical score based on various financial ratios. The Z-score is divided into different zones. If the Z-score is above 2.99, it indicates a lower bankruptcy risk, classifying the company as ‘safe’ or ‘non-distressed’. If the score falls below 1.81, it suggests a higher risk, indicating potential financial distress or bankruptcy. The range between 1.81 and 2.99 is called the ‘gray zone’ or zone of ambiguity.

Learn more at Investopediaopen_in_new

warning

FG Financial Group’s Altman Z-score is -0.22 which is in the distress zone. This indicates a higher risk of financial distress and potential bankruptcy for the company. It can serve as a warning sign of significant financial challenges, requiring careful consideration by potential investors.

Derived from SEC.GOV filing dataopen_in_new

account_balance
FG Financial Group Insider Trading

Insider trading is when individuals employed by a company buy or sell its securities following legal procedures and regulations. Company executives, directors, and employees may be permitted to buy or sell shares if they follow specific rules, such as filing a Form 4 with the SEC within two business days.

Learn more at Investopediaopen_in_new

sentiment_very_satisfied

Over the last 3 months, 1 insider has bought $86.95K of common stock in FG Financial Group on the stock market with no insider selling.

Derived from SEC.GOV filing dataopen_in_new

insights
Debt & Income Analysis

Income quality measures a company’s operating cash flow to net income ratio. It helps investors and analysts assess the sustainability of a company’s earnings. A high QIR indicates strong cash flows, while a low QIR may indicate non-operating activities driving net income.

Learn more at WallStreetPrepopen_in_new

warning

FG Financial Group’s Income Quality of -0.54 is lower than its Industry Group of 1.4 (-138.6% lower)

warning

FG Financial Group’s Income Quality of -0.54 is lower than its Major Industry Group of 1.32 (-140.9% lower)

warning

FG Financial Group’s Income Quality of -0.54 is lower than its Sector of 0.79 (-168.4% lower)

Derived from SEC.GOV filing dataopen_in_new


Current ratio measures a company’s ability to pay off short-term debt with its current assets (assets that a company expects to use up or convert to cash within a year). It represents the $ amount of current assets a company has for every $1 of short-term debt. A high current ratio above 1.0 indicates that a company can meet its short-term obligations, while a low current ratio below 1.0 suggests difficulty.

Learn more at Investopediaopen_in_new

sentiment_very_satisfied

FG Financial Group’s Current Ratio of 32.35 is greater than its Industry Group of 13.21 (144.9% greater)

sentiment_very_satisfied

FG Financial Group’s Current Ratio of 32.35 is greater than its Major Industry Group of 11.23 (188.1% greater)

sentiment_very_satisfied

FG Financial Group’s Current Ratio of 32.35 is greater than its Sector of 1.5 (2056.7% greater)

Derived from SEC.GOV filing dataopen_in_new

query_stats
Value Analysis

PE ratio (price-to-earnings), measures a company’s stock price relative to its earnings per share. It helps investors evaluate whether its stock is overvalued or undervalued. A higher PE ratio indicates that investors are willing to pay more for a company’s earnings, while a lower PE ratio (above zero) suggests the company could be undervalued.

Learn more at Investopediaopen_in_new

sentiment_very_satisfied

FG Financial Group’s PE Ratio of 0.9 is lower than its Industry Group of 9.72 (-90.7% lower)

sentiment_very_satisfied

FG Financial Group’s PE Ratio of 0.9 is lower than its Major Industry Group of 8.44 (-89.3% lower)

sentiment_very_satisfied

FG Financial Group’s PE Ratio of 0.9 is lower than its Sector of 9.38 (-90.4% lower)

Derived from SEC.GOV filing dataopen_in_new


The PB ratio (price-to-book), measures a company’s stock price relative to its book value (net value of a company’s assets reported on its balance sheet, after subtracting debt) per share. It is used to evaluate a company’s valuation, with a lower PB ratio (above zero) indicating a lower valuation and a higher PB ratio suggesting overvaluation.

Learn more at Investopediaopen_in_new

sentiment_very_satisfied

FG Financial Group’s PB Ratio of 0.4 is lower than its Industry Group of 0.8 (-50.0% lower)

sentiment_very_satisfied

FG Financial Group’s PB Ratio of 0.4 is lower than its Major Industry Group of 0.69 (-42.0% lower)

sentiment_very_satisfied

FG Financial Group’s PB Ratio of 0.4 is lower than its Sector of 0.97 (-58.8% lower)

Derived from SEC.GOV filing dataopen_in_new

settings_suggest
Efficiency Analysis

ROE (Return on Equity), is a financial ratio that measures a company’s profitability relative to its shareholders’ equity (the amount of value in a company that belongs to the people who own shares). It indicates how efficiently a company generates profits per unit of equity invested. A high ROE suggests effective use of equity, while a low ROE indicates inefficiency.

Learn more at Investopediaopen_in_new

sentiment_very_satisfied

FG Financial Group’s ROE of 0.45 is greater than its Industry Group of 0.03 (1400.0% greater)

sentiment_very_satisfied

FG Financial Group’s ROE of 0.45 is greater than its Major Industry Group of 0.02 (2150.0% greater)

sentiment_very_satisfied

FG Financial Group’s ROE of 0.45 is greater than its Sector of 0.04 (1025.0% greater)

Derived from SEC.GOV filing dataopen_in_new


ROCE (Return on Capital Employed), is a financial ratio that measures a company’s profitability relative to the amount of capital invested in its operations. It indicates how well a company is generating profits from its capital investments. A high ROCE suggests effective use of capital, while a low ROCE indicates inefficiency.

Learn more at Investopediaopen_in_new

warning

FG Financial Group’s ROCE of -0.03 is lower than its Industry Group of 0.02 (-250.0% lower)

warning

FG Financial Group’s ROCE of -0.03 is lower than its Major Industry Group of 0.01 (-400.0% lower)

warning

FG Financial Group’s ROCE of -0.03 is lower than its Sector of 0.02 (-250.0% lower)

Derived from SEC.GOV filing dataopen_in_new

More Stocks