UNICO AMERICAN CORPUNAM

Market cap
$371.34K
P/E ratio
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Net Loss-----------5,673,251
Depreciation And Amortization-139,293307,237539,608341,264483,580517,199551,183565,876673,895569,801
Bond Amortization, Net153,60478,4684,067-5,200-18,758-16,115-664,258201,076-19,87433,072-163,497
Stock Based Compensation30,67623,10423,10423,10423,10423,10411,552---11,589
Bad Debt Expense-----5,83316,22223,9037,8816,451-167,532
Allowance For Policy Acquisition Costs----------1
Net Realized Investment Gains-----1,278-528-14812,661-97,771259,912
Net Realized Gain On Real Estate----------4
Net Unrealized Investment Gains On Equity Securities---------198,266400,862
Net Receivables-929,22984,070738,304-51,242-378,068-608,556-318,5662-97,770686,905-2,284,856
Accrued Investment Income-----------32,118
Reinsurance Recoverable412-751,713-5,024,502606,5701-1,010,051-5,881,413-7,463,2535
Deferred Policy Acquisition Costs142,405372,928149,591-246,822-350,571-198,903269,528673,043-129,866116,346-1,106,788
Other Assets160,847-122,168-1,033,66564,257-7,704,948296,515400,471-124,621127,138116,942197,532
Unpaid Losses And Loss Adjustment Expenses------2,037,784233208
Unearned Premiums-17,672117,958-769,452111-606,476-2,803,6752377,961-3,857,025
Advance Premium And Premium Deposits-11,740-61,816-291,362-214,407-38,16611,800-16,24726,634-15,359-10,545-105,692
Accrued Expenses And Other Liabilities-1,258,818-269,293-685,818631,823-543,033217,699-360,625-455,000284,9421-1,311,214
Income Taxes Deferred102,81742,341476,643-233,709-560,961-85,473-828,206-768,799-156,7964-450,117
Income Taxes Current----------8,800
Net Cash Used By Operating Activities-1,073,100-1,214,159-4,108,3042-7,980,962-1,409,242-7,022,232-2,130,260-3,163,210-2,436,399-7,510,147
Purchase Of Fixed Maturity Investments15292558176021112127
Purchase Of Equity Securities---------32
Proceeds From Maturity Of Fixed Maturity Investments485831211195420101628
Proceeds From Sale Or Call Of Fixed Maturity Investments------11378
Proceeds From Sale Of Equity Securities----------2
(Purchases) Sales Of Short-term Investments-----------954,750
Proceeds From Sale Of Real Estate Held For Sale----------12
Purchase Of Property And Equipment-----------685,905
Net Cash Provided By Investing Activities174-2,535,41287-5,699,921-2,318,7064623,47319
Repurchase Of Common Stock10,959243,469--242,31489,582-2162,29610,733101
Net Cash Used By Financing Activities15,406-6,590,280---242,314-89,582--216-2,296-10,733-101
Net Change In Cash And Restricted Cash----------12
Income Taxes2858,949158,953683,8008,9608,7748,8008,8008,8008,8008,800