Directory of General Insurance Dividend Stocks

General Insurance

Symbol Company Name Div. Yield Market Cap
ACGL Ord/Arch Capital Group Ltd N/A $ 34,438,172,370
ACGLN Dep Shs Repstg 1/1000th 4.550% Pfd Ser G/Arch Capital Group Ltd 6.84% $ 0
ACGLO Dep Shs Repstg 1/1000th Int Sh 5.45% Non-Cum Pfd Shs Ser F/Arch Capital Group Ltd 6.90% $ 0
ACIC American Coastal Insurance Corp 6.75% $ 540,568,160
ACMT ACMAT Corp. N/A $ 14,040,000
ACMTA ACMAT Corp. N/A $ 39,006,000
ACT Enact Holdings Inc 2.01% $ 5,911,039,780
AELIY ADR/Anadolu Hayat Emeklilik A.S. 5.71% $ 0
AFFS 7.250% Sub Nt 06/15/2055/AmTrust Financial Services Inc N/A $ 0
AFFT 7.500% Sub Note 09/15/2055/AmTrust Financial Services Inc N/A $ 0
AFG American Financial Group Inc 6.82% $ 10,820,540,100
AFGB 5.875% Sub Deb 03/30/2059/American Financial Group Inc 7.11% $ 0
AFGC 5.125% Sub Deb 12/15/2059/American Financial Group Inc 7.07% $ 0
AFGD 5.625% Sub Deb 06/01/2060/American Financial Group Inc 7.07% $ 0
AFGE 4.500% Sub Deb 09/15/2060/American Financial Group Inc 6.95% $ 0
AFH Atlas Financial Holdings Inc N/A $ 2,448,315
AFHBL 6.625% Sr Unsec Note 04/16/2022/Atlas Financial Holdings Inc N/A $ 0
AFHIF Ord (New)/Atlas Financial Holdings Inc N/A $ 1,765
AFIPA Cl A Com/AMFI Corp 0.68% $ 59,120,000,000
AFSIA 6.75% Non-Cum Pfd Ser A/AmTrust Financial Services Inc 11.84% $ 0
AFSIB Dep Shs Repstg 1/40th 7.25% Non-Cum Pfd Ser B/AmTrust Financial Services Inc 12.25% $ 0
AFSIC Depositary Shs Repstg 1/40th Pfd Ser C/AmTrust Financial Services Inc 12.46% $ 0
AFSIM Dep Shs Repstg 1/40th Int Sh 7.75% Non-Cum Pfd Stk Ser E/AmTrust Financial Services Inc 12.61% $ 0
AFSIN Dep Shs Repstg 1/40th Int 6.95% Non Cum Pfd Ser F/AmTrust Financial Services Inc 12.02% $ 0
AFSIP Dep Shs Repstg 1/40th 7.5% Non-Cum Pfd Ser D/AmTrust Financial Services Inc 12.46% $ 0
AGESF Act Nom./Ageas NV 5.85% $ 0
AGESY ADR (Sponsored) (New)/Ageas NV 3.74% $ 0
AGO Assured Guaranty Ltd 1.72% $ 3,668,737,380
AHL_PD 5.625% Perp Non-Cum Pref Shs/Aspen Insurance Holdings Ltd 5.15% $ 0
AHL_PE Dep Shs Respstg 1/1000th 5.625% Perp Pfd Shs/Aspen Insurance Holdings Ltd 5.16% $ 0
AHL_PF Dep Shs reptg 1/1,000th Interest in a 7.00% Perpetual Non-Cumulative Preference Share/Aspen Insurance Holdings Ltd 5.59% $ 0
AIG American International Group Inc 2.36% $ 41,003,915,200
AIVAD Aviva Plc (United Kingdom) N/A $ 16,984,118,160
AIVAF Ord (New)/Aviva Plc (United Kingdom) 6.58% $ 24,614,664,000
AIZ Assurant Inc 1.54% $ 10,834,103,000
AIZN 5.250% Sub Nt 01/15/2061/Assurant Inc 6.69% $ 0
ALIZF Ord/Allianz SE 4.00% $ 193,633,570,000
ALIZY ADR/Allianz SE 2.76% $ 0
ALL Allstate Corp 1.96% $ 54,076,920,960
ALL_PB 5.100% Fixed to Floating Rate Sub Deb due 2023/Allstate Corp 7.37% $ 0
ALL_PH Dep Shs Repstg 1/1000th Int Sh Perp Pfd Ser H/Allstate Corp 6.24% $ 0
ALL_PI Dep Shs Repstg 1/1000th Perp Pfd Ser I/Allstate Corp 6.29% $ 0
ALL_PJ Dep Shs Reptsg 1/1000th Non Cum Perp Pfd Ser J/Allstate Corp 7.22% $ 0
AMBC Ambac Financial Group, Inc. N/A $ 395,622,360
AMBCW Ambac Financial Group, Inc. N/A $ 0
AMIGF Ord/Admiral Group Plc, Cardiff 6.68% $ 0
AMIGY ADR/Admiral Group Plc, Cardiff 9.72% $ 0
AMSF Amerisafe Inc 7.68% $ 631,699,950
AOREF Ord (New)/American Overseas Group Ltd. N/A $ 33,075,000
ARGHF Argo Group International Holdings Ltd N/A $ 0
ARNNY ADR/ASR Nederland NV 4.06% $ 0
ASIHV Aspen Insurance Holdings Ltd N/A $ 0
ASRRF Ord/ASR Nederland NV 5.14% $ 0
ASTLZ Allstate Corp N/A $ 0
AUHYF Anadolu Hayat Emeklilik A.S. 2.97% $ 0
AVVID Aviva Plc (United Kingdom) N/A $ 0
AXAHF Ord/AXA SA 5.47% $ 8,470,081,620
AXAHY ADR (Sponsored)/AXA SA 5.18% $ 86,948,400,000
AXQEL AXA Equitable Holdings Inc N/A $ 0
AXS Ord/AXIS Capital Holdings Ltd 1.73% $ 7,504,590,360
AXS_PE Dep Shs Repstg 1/100th 5.50% Pfd Ser E/AXIS Capital Holdings Ltd 7.07% $ 0
BBSEY ADR (Sponsored)/BB Seguridade Participacoes SA 11.35% $ 0
BCRH Blue Capital Reinsurance Holdings Ltd 122.47% $ 58,968,000
BCRHF Blue Capital Reinsurance Holdings Ltd 10,000.00% $ 1,755
BKLLD Cypher Metaverse Inc N/A $ 659,516
BKLLF Cypher Metaverse Inc N/A $ 359,736
BNT Cl A Exchangeable Ltd Vtg Shs/Brookfield Wealth Solutions Ltd 0.59% $ 0
BRK__A Cl A Com/Berkshire Hathaway Inc N/A $ 366,848,000,000
BRK__B Cl B (New)/Berkshire Hathaway Inc N/A $ 661,980,029,900
BZLEY ADR/Beazley Plc (UK) 1.82% $ 0
BZLYF Ord GBP 0.9/Beazley Plc (UK) 2.05% $ 0
CB Ord/Chubb Ltd 1.19% $ 127,542,323,300
CCG Ord Shs Cl A/Cheche Group Inc N/A $ 71,575,039
CCGWW Wt Exp/Cheche Group Inc N/A $ 0
CINF Cincinnati Financial Corp. 2.26% $ 24,905,104,720
CNA CNA Financial Corp 8.32% $ 12,551,107,010
CNFR Conifer Holdings Inc N/A $ 18,090,040
CNFRZ Sr Nt/Conifer Holdings Inc 13.18% $ 0
CRBD 6.375% Junior Subordinated Notes due 2064/Corebridge Financial Inc 6.88% $ 0
CRBG Corebridge Financial Inc 3.96% $ 11,810,940,720
CWID Country-Wide Insurance Co. (NY) N/A $ 0
CXDEF Cypher Metaverse Inc N/A $ 0
DFYFF Definity Financial Corp 1.13% $ 0
DGICA Cl A/Donegal Group Inc. 4.23% $ 541,784,240
DGICB Cl B/Donegal Group Inc. 3.73% $ 98,657,130
DIISF Ord (New)/Direct Line Insurance Group PLC 2.23% $ 0
DIISY ADR (New)/Direct Line Insurance Group PLC 1.76% $ 0
EG Ord Shs/Everest Group Ltd 2.44% $ 13,264,883,800
EGFHF ICPEI Holdings Inc N/A $ 35,197,680
EIG Employers Holdings Inc 3.04% $ 946,365,900
EQH Equitable Holdings Inc 2.81% $ 10,779,380,600
EQHIL Equitable Holdings Inc N/A $ 0
EQH_PA Dep Shs Repstg 1/000th Int Non Cum Perp Pfd Ser A/Equitable Holdings Inc 6.58% $ 0
EQH_PC Dep Shs Repstg 1/1000th Perp Pfd Ser C/Equitable Holdings Inc 6.61% $ 0
ERIE Cl A Com/Erie Indemnity Co. 2.19% $ 11,747,248,370
ERPRF European Reliance General Insurance N/A $ 0
ESGOF Depositary Shs Repstg 1/1000 Int 7.00% Non Cum Perp Pref Ser E/Enstar Group Ltd 6.25% $ 0
ESGRF Depositary Sh Repstg 1/1000th Fixed To Fltg Rate Pref Ser D/Enstar Group Ltd 5.89% $ 0
ESGRO Depositary Shs Repstg 1/1000 Int 7.00% Non Cum Perp Pref Ser E/Enstar Group Ltd 9.11% $ 0
ESGRP Depositary Sh Repstg 1/1000th Fixed To Fltg Rate Pref Ser D/Enstar Group Ltd 8.54% $ 0
ESNT Essent Group Ltd 2.15% $ 5,640,435,380
FACO First Acceptance Corp N/A $ 196,682,703
FAF First American Financial Corp 3.62% $ 6,164,950,000
FAXRF Cumulative Pfd Shs Ser G/Fairfax Financial Holdings Ltd 3.92% $ 135,000,000
FAXXF Fairfax Financial Holdings Ltd 6.42% $ 0
FDIAY UnipolSai Assicurazioni SpA N/A $ 0
FGF Fundamental Global Inc N/A $ 23,888,160
FGFPP PFD SER A 8%/Fundamental Global Inc 10.26% $ 0
FGNX FG Nexus Inc N/A $ 29,972,700
FGNXP Cum Pfd Ser A 8%/FG Nexus Inc 3.99% $ 0
FIGP Forge Group Inc N/A $ 0
FIHL Fidelis Insurance Holdings Ltd 2.85% $ 0
FNF FNF Group Com/Fidelity National Financial Inc 4.38% $ 12,629,608,040
FNHC FedNat Holding Co N/A $ 175,190
FNHCQ FedNat Holding Co N/A $ 18
FRFFF Cum 5 Yr Rate Reset Pfd Shs Ser K/Fairfax Financial Holdings Ltd 4.84% $ 0
FRFGF Fairfax Financial Holdings Ltd 3.73% $ 124,000,000
FRFHF Sub Vtg Com/Fairfax Financial Holdings Ltd 0.87% $ 36,818,558,181
FRFXF Cumulative Pfd Shs Ser I/Fairfax Financial Holdings Ltd 2.57% $ 279,120,000
FRFZF Cumulative Pfd Shs Ser D/Fairfax Financial Holdings Ltd 9.38% $ 0
FXFHF Pfd Shs Ser F 5 Yr Rate Reset/Fairfax Financial Holdings Ltd 6.83% $ 0
FXFLF Fairfax Financial Holdings Ltd N/A $ 0
GBLI Cl A/Global Indemnity Group LLC 5.10% $ 289,563,730
GBLIL 7.875% Sub Nt 04/15/2047/Global Indemnity Group LLC 7.71% $ 0
GCNJF Grupo Catalana Occidente SA N/A $ 0
GJNSF Ord/Gjensidige Forsikring ASA 4.66% $ 0
GJNSY ADR/Gjensidige Forsikring ASA 4.74% $ 0
GLRE Cl A Ord/Greenlight Capital Re, Ltd. N/A $ 611,372,160
GSHD Com Cl A/Goosehead Insurance Inc N/A $ 1,096,811,970
HALL Com Par $1.00/Hallmark Financial Services Inc. N/A $ 155,621
HCI HCI Group Inc 1.04% $ 2,000,378,240
HCXLF Shs Par Value 6.5 Pence GBP/Hiscox Ltd 2.59% $ 0
HCXLY ADR/Hiscox Ltd 1.88% $ 0
HG Ord/Hamilton Insurance Group Ltd 6.53% $ 2,034,352,710
HIG Hartford Insurance Group Inc 1.64% $ 37,633,230,460
HIG_PG Dep Shs Repstg 1/1000th Pfd Ser G 6.00%/Hartford Insurance Group Inc 6.04% $ 0
HLVTY Helvetia Baloise Holdings AG N/A $ 0
HMN Horace Mann Educators Corp. 3.23% $ 1,763,620,000
HRTG Heritage Insurance Holdings Inc N/A $ 818,100,230
HUWWF Helios Underwriting PLC N/A $ 0
IAUGF Ord/Insurance Australia Group Ltd 5.35% $ 0
IAUGY ADR (New)/Insurance Australia Group Ltd 4.09% $ 0
ICCH ICC Holdings Inc N/A $ 73,735,110
IFCZF Intact Financial Corp 2.25% $ 22,874,054,240
IGIC Ord/International General Insurance Holdings Ltd 5.35% $ 1,226,468,250
INTAF Non Cum Rate Reset Pfd Shs Cl A Ser 3/Intact Financial Corp 3.50% $ 0
ITIC Investors Title Co. 4.74% $ 420,835,200
JRVR James River Group Holdings Inc 0.32% $ 284,069,880
KFS Kingsway Financial Services Inc (DE) N/A $ 310,890,780
KG Kestrel Group Ltd N/A $ 0
KINS Kingstone Companies Inc 1.03% $ 211,219,430
KMPB 5.875% Fxd Rate Reset Jr Sub Deb due 03/15/2062/Kemper Corp (DE) 6.44% $ 0
KMPR Kemper Corp (DE) 4.09% $ 1,837,779,500
KNSL Kinsale Capital Group Inc 0.27% $ 8,006,075,870
L Loews Corp. 0.23% $ 22,206,331,810
LCSHF Ord/Lancashire Holdings Ltd N/A $ 0
LCSHY Lancashire Holdings Ltd N/A $ 0
LIFE aTyr Pharma Inc N/A $ 0
LINS Life Insurance Co. of Alabama 2.22% $ 0
LINSA Cl A Com/Life Insurance Co. of Alabama 1.82% $ 0
LMND Lemonade Inc N/A $ 4,731,163,020
LMND.WT Wt Pur Com Exp/Lemonade Inc N/A $ 0
MAJCQ Majestic Capital Ltd. N/A $ 500
MAX Cl A/MediaAlpha Inc N/A $ 524,973,380
MBI MBIA Inc. N/A $ 299,025,120
MCY Mercury General Corp. 1.43% $ 4,934,606,010
MDBKY Medibank Private Ltd N/A $ 0
MDBPF Medibank Private Ltd N/A $ 0
MKL Markel Group Inc N/A $ 23,986,330,560
MSADF Ord/MS&AD Insurance Group Holdings 3.68% $ 0
MSADY ADR/MS&AD Insurance Group Holdings 3.84% $ 0
NHOLF Ord/Sompo Holdings Inc 431.82% $ 0
NMIH Cl A Com/NMI Holdings Inc N/A $ 2,882,411,030
NODK NI Holdings Inc N/A $ 260,011,080
NP Neptune Insurance Holdings Inc N/A $ 2,454,169,290
ORI Old Republic International Corp. 9.13% $ 9,912,748,200
OSG Octave Specialty Group Inc N/A $ 206,329,680
OXBR Ord/Oxbridge Re Holdings Ltd. N/A $ 6,371,080
PGR Progressive Corp. (OH) 7.08% $ 115,060,220,280
PLMR Palomar Holdings Inc N/A $ 3,252,443,400
PMIR PMI Group, Inc. N/A $ 0
PPCCF Cl H Ord/PICC Property and Casualty Co Ltd 4.09% $ 0
PPCCY ADR/PICC Property and Casualty Co Ltd 3.62% $ 0
PPHI Positive Physicians Holdings Inc N/A $ 27,120,000
PRA ProAssurance Corp N/A $ 1,244,218,800
PRHI Presurance Holdings Inc N/A $ 21,004,623
PRHIZ Sr Nt/Presurance Holdings Inc 3.58% $ 0
PSKRF Protector Forsikring ASA 2.98% $ 0
PSKRY ADR/Protector Forsikring ASA 1.34% $ 0
PWZYF Powszechny Zaklad Ubezpieczen SA 7.54% $ 0
PZAKY ADR/Powszechny Zaklad Ubezpieczen SA 5.87% $ 0
QBIEY ADR (Sponsored)/QBE Insurance Group Ltd. 4.83% $ 0
QUCOF Qualitas Controladora SAB De CV N/A $ 0
RDN Radian Group, Inc. 3.00% $ 4,629,159,840
RE Everest Re Group Ltd N/A $ 13,796,522,000
RLI RLI Corp 4.55% $ 5,334,117,600
RMRHF Rand Merchant Investment Holdings Ltd N/A $ 0
RNR RenaissanceRe Holdings Ltd. 0.53% $ 13,090,189,000
RNRRP RenaissanceRe Holdings Ltd. N/A $ 0
RNR_PF Dep Shs Repstg 1/1000 Int 5.750% Pfd Ser F/RenaissanceRe Holdings Ltd. 6.81% $ 0
RNR_PG Dep Shs Reptstg 1/1000th Int 4.20% Pfd Ser G/RenaissanceRe Holdings Ltd. 6.84% $ 0
ROOT Cl A (New)/Root Inc N/A $ 616,597,800
RQULF Randall & Quilter Investment Holdings Ltd N/A $ 0
RYAN CL A Com/Ryan Specialty Holdings Inc 1.43% $ 4,429,902,960
SAFT Safety Insurance Group, Inc. 4.99% $ 1,072,525,600
SBBG Seibels Bruce Group, Inc. (The) N/A $ 400
SBIGY ADR/Sabre Insurance Group PLC 9.40% $ 0
SBREF Ord GBP 0.001/Sabre Insurance Group PLC 12.03% $ 0
SDA Ord/SunCar Technology Group Inc N/A $ 5,984,160
SDAWW Wt Exp/SunCar Technology Group Inc N/A $ 0
SGYI Strategy International Insurance Group Inc N/A $ 6,433
SIGI Selective Insurance Group Inc 2.08% $ 4,668,972,220
SIGIP Dep Shs Repstg 1/1000th Int 4.60% Non Cum Pfd Ser B/Selective Insurance Group Inc 7.13% $ 0
SKWD Skyward Specialty Insurance Group Inc N/A $ 1,973,445,460
SLDE Slide Insurance Holdings Inc N/A $ 2,242,714,760
SLIG Selective Insurance Group Inc N/A $ 0
SMPNY ADR/Sompo Holdings Inc 2.65% $ 0
SNFCA Cl A Com (New)/Security National Financial Corp N/A $ 215,356,800
SNMCD Suncorp Group Ltd. N/A $ 0
SNMCY Sponsored Adr 3/2025/Suncorp Group Ltd. 2.66% $ 0
SNMYD Suncorp Group Ltd. N/A $ 0
SNMYF Ord/Suncorp Group Ltd. 4.84% $ 0
SPNT Ord/SiriusPoint Ltd N/A $ 2,668,541,900
SPNTP Resettable Fixed Rate Pfd Shs Ser B/SiriusPoint Ltd 7.91% $ 0
SRSPF SiriusPoint Ltd N/A $ 0
SSREF Namen Akt/Swiss Re Ltd N/A $ 0
SSREY ADR (Sponsored)/Swiss Re Ltd N/A $ 0
STC Stewart Information Services Corp 3.38% $ 1,865,597,270
TGIC Triad Guaranty Inc. N/A $ 1,537
TGVSF Ord (New)/Tryg A/S 5.37% $ 0
TGVSY Tryg A/S 3.02% $ 0
THG Hanover Insurance Group Inc 2.11% $ 6,161,971,190
TILCF Till Capital Corp N/A $ 5,989,620
TIPT Tiptree Inc 1.45% $ 628,379,430
TKOMF Ord/Tokio Marine Holdings Inc 2.77% $ 0
TKOMY ADR/Tokio Marine Holdings Inc 3.96% $ 107,531,250,000
TLLXY ADR/Talanx AG 1.76% $ 0
TNXXF Namens-Aktien ON/Talanx AG 2.29% $ 0
TRRSF Trisura Group Ltd N/A $ 0
TRV Travelers Companies Inc (The) 1.49% $ 63,909,140,900
UFCS United Fire Group, Inc. 1.81% $ 959,882,420
UIHC United Insurance Holdings Corp N/A $ 343,273,840
UNAM UNICO American Corp. N/A $ 371,350
UNAMQ UNICO American Corp. N/A $ 636,600
UNPLF UnipolSai Assicurazioni SpA N/A $ 0
UVE Universal Insurance Holdings Inc 2.28% $ 944,429,760
VDASF Vaudoise Assurances Holding (Switzerland) N/A $ 0
WDH ADR/Waterdrop Inc 2.44% $ 0
WEDXD Westaim Corp (The) N/A $ 490,425,750
WEDXF Westaim Corp (The) N/A $ 399,404,640
WRB Berkley (WR) Corp 2.81% $ 24,776,324,560
WRB_PE 5.70% Sub Deb 03/30/2058/Berkley (WR) Corp 6.73% $ 0
WRB_PG 4.25% Sub Deb 09/30/2060/Berkley (WR) Corp 6.62% $ 0
WRB_PH 4.125% Sub Deb 03/30/2061/Berkley (WR) Corp 6.62% $ 0
WRB_ZF 5.100% Sub Deb 12/30/2059/Berkley (WR) Corp 6.74% $ 0
WTM Ord/White Mountains Insurance Group Ltd 0.05% $ 5,437,169,320
XZO Exzeo Group Inc N/A $ 1,300,070,200
ZFSVF Namen Akt/Zurich Insurance Group AG N/A $ 0
ZURVY ADR (Sponsored)/Zurich Insurance Group AG N/A $ 0
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