Progressive Corporation Competitors & Alternatives
Progressive Corporation competitors and alternatives include Allstate Corporation, etc.…
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Stock Price
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Market Cap
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Employees
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Income Statement
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Revenue
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Revenue by Product / Services
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Revenue by Geography
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Research and Development
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Operating Income
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Tax Rate (%)
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Net Income
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Assets & Liabilities | Cash Flow
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Total Assets
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Total Liabilities
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Capital Expenditures (Capex)
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Profitability
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Operating Income Margin (%)
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Net Income Margin (%)
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EBITDA
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Free Cash Flow (FCF)
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Ratios
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Return on Equity (ROE)
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Return on Assets (ROA)
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Debt to Equity
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Valuation
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Enterprise value
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Enterprise value to Revenue
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Enterprise value to EBITDA
Ticker
PGR
ALL
Headquarter
Mayfield
,OH
US
Northbrook
,IL
US
CEO
Industry
Insurance - Property & Casualty
Insurance - Property & Casualty
Stock Price
Stock Price
Market Cap
Market Cap
$125.29 B
$56.14 B
Employees
Years
- 2023
- 2024
- 2025
- 2024
- 2025
- 2026
Employees
- 55.10 K
- 61.40 K
- 66.30 K
- 53.00 K
- 55.00 K
- 53.00 K
Y/Y
12.45%
11.43%
7.98%
1.85%
3.77%
3.64%
Income Statement
Revenue
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Revenue
- $62.08 B
- $75.34 B
- $79.91 B
- $57.09 B
- $64.12 B
- $66.46 B
Y/Y
25.2%
21.36%
6.06%
10.64%
12.31%
3.66%
Revenue by Products / Services
Years
- 2024
- 2025
Revenue by Geography
Years
- 2023
Research and Development
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Research and Development
- -
- -
- -
- -
- -
- -
Y/Y
0%
0%
0%
0%
0%
0%
Operating Income
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Operating Income
- $4.90 B
- $10.71 B
- $12.83 B
- $31.00 M
- $6.16 B
- $13.16 B
Y/Y
431.89%
118.45%
19.79%
102.07%
19774.19%
113.54%
Tax Rate (%)
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Tax Rate (%)
- 20.41%
- 20.84%
- 20.82%
- 38.79%
- 20.17%
- 21.97%
Y/Y
5.9%
2.12%
0.11%
45.47%
48.01%
8.91%
Net Income
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Net Income
- $3.90 B
- $8.48 B
- $10.16 B
- -$188.00 M
- $4.67 B
- $10.28 B
Y/Y
440.58%
117.27%
19.82%
85.42%
2582.45%
120.31%
Revenue Per Employee
Years
- 2023
- 2024
- 2025
- 2024
- 2025
- 2026
Revenue Per Employee
- $1.13 M
- $1.23 M
- $1.21 M
- $1.21 M
- $1.21 M
- -
Y/Y
11.34%
8.91%
1.78%
14.42%
0.11%
100%
Net Income Per Employee
Years
- 2023
- 2024
- 2025
- 2024
- 2025
- 2026
Net Income Per Employee
- $70.83 K
- $138.11 K
- $153.26 K
- $88.06 K
- $186.95 K
- -
Y/Y
380.74%
94.98%
10.97%
2629.29%
112.3%
100%
Assets & Liabilities | Cash Flow
Total Assets
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Total Assets
- $88.69 B
- $105.75 B
- $91.06 B
- $103.36 B
- $111.62 B
- $119.76 B
Y/Y
17.53%
19.23%
13.89%
5.48%
7.99%
7.29%
Total Liabilities
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Total Liabilities
- $68.41 B
- $80.15 B
- $86.49 B
- $85.73 B
- $90.25 B
- $89.17 B
Y/Y
14.84%
17.16%
7.91%
6.33%
5.27%
1.2%
Capital Expenditures (Capex)
Years
- 2022
- 2023
- 2024
- 2023
- 2024
- 2025
Capital Expenditures (Capex)
- -$292.00 M
- -$252.00 M
- -$285.00 M
- -$267.00 M
- -$210.00 M
- -$228.00 M
Y/Y
19.92%
13.7%
13.1%
36.43%
21.35%
8.57%
Profitability
Operating Income Margin (%)
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Operating Income Margin (%)
- 7.90%
- 14.22%
- 16.06%
- -0.61%
- 9.07%
- 19.80%
Y/Y
324.83%
80.01%
12.95%
82.99%
1574.99%
118.24%
Net Income Margin (%)
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Net Income Margin (%)
- 6.29%
- 11.26%
- 12.72%
- -0.33%
- 7.35%
- 15.47%
Y/Y
331.77%
79.03%
12.98%
86.95%
2311.83%
110.55%
EBITDA
| 2022 | 1472000000.00 |
|---|---|
| 2023 | 5457000000.00 |
| 2024 | 11276000000.00 |
| 2025 | 13088000000.00 |
| 2022 | -648000000.00 |
|---|---|
| 2023 | 735000000.00 |
| 2024 | 6716000000.00 |
| 2025 | 13929000000.00 |
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
EBITDA
- $5.46 B
- $11.28 B
- $13.09 B
- $735.00 M
- $6.72 B
- $13.93 B
Y/Y
270.72%
106.63%
16.07%
213.43%
813.74%
107.4%
Free Cash Flow (FCF)
| 2021 | 7518200000.00 |
|---|---|
| 2022 | 6556800000.00 |
| 2023 | 10391300000.00 |
| 2024 | 14834000000.00 |
| 2022 | 4701000000.00 |
|---|---|
| 2023 | 3961000000.00 |
| 2024 | 8721000000.00 |
| 2025 | 9882000000.00 |
Years
- 2022
- 2023
- 2024
- 2023
- 2024
- 2025
Free Cash Flow (FCF)
- $6.56 B
- $10.39 B
- $14.83 B
- $3.96 B
- $8.72 B
- $9.88 B
Y/Y
12.79%
58.48%
42.75%
15.74%
120.17%
13.31%
Ratios
Return on Equity (ROE)
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Return on Equity (ROE)
- 19.25%
- 33.14%
- 222.54%
- -1.06%
- 21.77%
- 0.00%
Y/Y
323.65%
72.15%
571.57%
85.65%
2157.32%
100%
Return on Assets (ROA)
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Return on Assets (ROA)
- 4.40%
- 8.02%
- 11.16%
- -0.18%
- 4.18%
- 0.00%
Y/Y
359.97%
82.23%
39.15%
86.17%
2398.85%
100%
Debt to Equity
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Debt to Equity
- 33.97%
- 26.94%
- 0.00%
- 44.69%
- 37.71%
- 24.47%
Y/Y
15.49%
20.72%
100%
1.86%
15.63%
35.11%
Valuation
Enterprise Value
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Enterprise value
- $99.97 B
- $147.04 B
- $134.00 B
- $43.96 B
- $58.34 B
- $0.00
Y/Y
21.93%
47.09%
8.87%
0.09%
32.69%
100%
Enterprise value to Revenue
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Enterprise value to Revenue
- 1.61
- 1.95
- 1.68
- 0.77
- 0.91
- 0.00
Y/Y
2.61%
21.2%
14.07%
9.69%
18.15%
100%
Enterprise value to EBITDA
Years
- 2023
- 2024
- 2025
- 2023
- 2024
- 2025
Enterprise value to EBITDA
- 18.32
- 13.04
- 10.24
- 59.82
- 8.69
- 0.00
Y/Y
67.11%
28.82%
21.48%
188.09%
85.48%
100%





