CA Stock MarketDetailed Quotes

DFY Definity Financial Corp

Watchlist
  • 54.030
  • +0.300+0.56%
15min DelayMarket Closed Nov 1 16:00 ET
6.21BMarket Cap16.32P/E (TTM)

Definity Financial Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Total investments
1.45%4.88B
-1.88%4.83B
1.00%4.98B
1.00%4.98B
-6.08%4.65B
-4.06%4.81B
-5.68%4.93B
-8.03%4.93B
-8.03%4.93B
--4.95B
-Equity investments
1.34%4.65B
-2.56%4.59B
0.60%4.75B
0.60%4.75B
117.29%4.44B
126.77%4.59B
131.34%4.71B
--4.72B
--4.72B
--2.04B
-Net loan
----
----
----
----
----
----
----
----
----
--14.6M
Long term equity investment
-1.16%51.3M
11.84%51M
42.51%52.3M
42.51%52.3M
-50.85%49M
-46.99%51.9M
-43.63%45.6M
--36.7M
--36.7M
--99.7M
-Investments in other ventures under equity method
-1.16%51.3M
11.84%51M
42.51%52.3M
42.51%52.3M
-50.85%49M
-46.99%51.9M
-43.63%45.6M
--36.7M
--36.7M
--99.7M
-Short term investments
4.98%179.2M
13.14%193.7M
3.09%183.7M
3.09%183.7M
-93.96%169M
-94.05%170.7M
-94.44%171.2M
--178.2M
--178.2M
--2.8B
Cash and cash equivalents
33.60%248.1M
40.44%230.6M
-1.50%197.5M
-1.50%197.5M
108.92%405.1M
-30.79%185.7M
-34.97%164.2M
-48.23%200.5M
-48.23%200.5M
3,778.00%193.9M
Restricted cash and cash equivalents
-21.95%209.8M
-19.95%229.5M
-19.23%244M
-19.23%244M
-49.88%257.3M
-15.76%268.8M
145.46%286.7M
172.65%302.1M
172.65%302.1M
--513.4M
Reinsurance recoverable
6.29%321.2M
6,632.00%326.6M
-213.79%-9.1M
-213.79%-9.1M
53.26%305.9M
105.86%302.2M
-104.21%-5M
-101.22%-2.9M
-101.22%-2.9M
--199.6M
Receivables
-18.53%51M
-86.19%50.5M
-14.36%328.6M
-14.36%328.6M
-95.19%62.3M
-95.03%62.6M
-66.14%365.6M
191,750.00%383.7M
191,750.00%383.7M
--1.29B
-Accounts receivable
----
----
0.67%284.7M
0.67%284.7M
----
----
-71.33%296.2M
--282.8M
--282.8M
--1.19B
-Taxes receivable
-84.04%3.4M
-89.52%4.8M
--0
--0
-78.72%22M
-79.34%21.3M
-2.14%45.8M
40,750.00%81.7M
40,750.00%81.7M
--103.4M
-Other receivables
15.25%47.6M
93.64%45.7M
128.65%43.9M
128.65%43.9M
--40.3M
--41.3M
--23.6M
--19.2M
--19.2M
----
Accrued investment income
3.67%25.4M
9.15%31M
0.75%26.8M
0.75%26.8M
13.57%31.8M
3.81%24.5M
11.81%28.4M
--26.6M
--26.6M
--28M
Prepaid assets
25.67%42.1M
----
117.46%54.8M
117.46%54.8M
----
-24.89%33.5M
19.37%53M
--25.2M
--25.2M
--45.6M
Deferred policy acquisition costs
----
----
----
----
----
----
----
----
----
--319.1M
Net PPE
1.34%106M
27.17%105.3M
23.03%103.1M
23.03%103.1M
69.08%105M
67.63%104.6M
47.59%82.8M
47.02%83.8M
47.02%83.8M
--62.1M
Goodwill and other intangible assets
30.26%1.31B
68.31%1.3B
59.40%1.23B
59.40%1.23B
328.66%1.01B
339.08%1.01B
239.39%771.1M
251.21%771.6M
251.21%771.6M
--234.5M
-Goodwill
----
----
69.35%572.4M
69.35%572.4M
----
----
----
--338M
--338M
----
-Other intangible assets
----
----
51.64%657.5M
51.64%657.5M
----
----
----
--433.6M
--433.6M
----
Defined pension benefit
7.85%46.7M
6.26%45.8M
3.97%41.9M
3.97%41.9M
4.95%40.3M
12.18%43.3M
23.50%43.1M
--40.3M
--40.3M
--38.4M
Deferred tax assets
-9.46%20.1M
-2.67%21.9M
-6.35%23.6M
-6.35%23.6M
-63.07%21.9M
-60.92%22.2M
-60.39%22.5M
8.15%25.2M
8.15%25.2M
--59.3M
Other assets
----
--39.1M
18.18%35.1M
18.18%35.1M
--40.1M
----
----
-78.21%29.7M
-78.21%29.7M
----
Total assets
5.78%7.26B
7.02%7.21B
6.45%7.26B
6.45%7.26B
-12.78%6.93B
-11.68%6.86B
-10.37%6.74B
4.31%6.82B
4.31%6.82B
158,768.00%7.94B
Liabilities
Policy holders liabilities reserve
1.02%3.42B
-2.54%3.38B
-2.35%3.49B
-2.35%3.49B
-30.12%3.53B
-31.16%3.38B
-27.43%3.46B
-2.49%3.58B
-2.49%3.58B
--5.05B
Payables
15.16%71.4M
55.95%74.7M
121.82%172.8M
121.82%172.8M
-81.72%53.3M
-74.39%62M
-78.21%47.9M
40.11%77.9M
40.11%77.9M
--291.6M
-Accounts payable
-14.67%50.6M
7.61%50.9M
-29.53%54.9M
-29.53%54.9M
-75.53%49.7M
-64.34%59.3M
-71.71%47.3M
--77.9M
--77.9M
--203.1M
-Total tax payable
670.37%20.8M
3,866.67%23.8M
--117.9M
--117.9M
--3.6M
--2.7M
--600K
--0
--0
--0
-Other payable
----
----
----
----
----
----
----
----
----
--88.5M
Long term debt and capital lease obligation
2.84%152.1M
122.45%152.6M
111.72%149.9M
111.72%149.9M
5,058.62%149.6M
566.22%147.9M
289.77%68.6M
--70.8M
--70.8M
--2.9M
-Long term debt
0.00%114.3M
200.00%114.3M
192.33%114.3M
192.33%114.3M
--114.3M
--114.3M
--38.1M
--39.1M
--39.1M
----
-Long term capital lease obligation
12.50%37.8M
25.57%38.3M
12.30%35.6M
12.30%35.6M
1,117.24%35.3M
51.35%33.6M
73.30%30.5M
--31.7M
--31.7M
--2.9M
Long term provisions
--3.5M
--3.7M
--8.5M
--8.5M
----
----
----
----
----
----
Unrepurchased pre-sale securities
--50.2M
--100.5M
----
----
----
----
----
----
----
----
Employee benefits
9.40%34.9M
9.58%34.3M
11.90%32.9M
11.90%32.9M
-37.73%30.7M
6.69%31.9M
-2.80%31.3M
--29.4M
--29.4M
--49.3M
Non current deferred liabilities
25.39%151.1M
62.58%153.8M
45.60%150.7M
45.60%150.7M
--119.7M
--120.5M
--94.6M
498.27%103.5M
498.27%103.5M
----
Other liabilities
-21.95%209.8M
-19.95%229.5M
-19.23%244M
-19.23%244M
-17.08%257.3M
-15.76%268.8M
145.46%286.7M
24.99%302.1M
24.99%302.1M
--310.3M
Total liabilities
1.90%4.09B
3.30%4.12B
2.19%4.25B
2.19%4.25B
-27.43%4.14B
-27.38%4.01B
-22.61%3.99B
4.47%4.16B
4.47%4.16B
--5.7B
Shareholders'equity
Share capital
-0.54%2.27B
0.12%2.28B
0.83%2.27B
0.83%2.27B
0.63%2.28B
0.07%2.28B
-0.79%2.28B
-2.32%2.25B
-2.32%2.25B
45,248.00%2.27B
-common stock
-0.54%2.27B
0.12%2.28B
0.83%2.27B
0.83%2.27B
0.63%2.28B
0.07%2.28B
-0.79%2.28B
-2.32%2.25B
-2.32%2.25B
45,248.00%2.27B
Additional paid-in capital
-3.99%28.9M
-6.97%22.7M
0.50%40.4M
0.50%40.4M
0.87%34.7M
6.74%30.1M
3.39%24.4M
108.29%40.2M
108.29%40.2M
--34.4M
Retained earnings
72.61%721M
75.34%634.9M
95.03%561.3M
95.03%561.3M
599.01%352.3M
1,669.92%417.7M
2,892.56%362.1M
30.34%287.8M
30.34%287.8M
--50.4M
Gains losses not affecting retained earnings
63.55%-12.1M
50.49%-15.3M
16.67%-27M
16.67%-27M
68.73%-34.8M
61.84%-33.2M
-227.16%-30.9M
-598.46%-32.4M
-598.46%-32.4M
---111.3M
Total stockholders equity
11.53%3.01B
10.98%2.93B
11.68%2.85B
11.68%2.85B
17.53%2.63B
20.11%2.7B
11.76%2.64B
-0.18%2.55B
-0.18%2.55B
44,718.00%2.24B
Noncontrolling interests
6.29%163.8M
47.17%161.3M
46.73%159.2M
46.73%159.2M
--155.9M
--154.1M
--109.6M
--108.5M
--108.5M
----
Total equity
11.25%3.17B
12.42%3.09B
13.11%3.01B
13.11%3.01B
24.49%2.79B
26.98%2.85B
16.40%2.75B
4.07%2.66B
4.07%2.66B
44,718.00%2.24B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Total investments 1.45%4.88B-1.88%4.83B1.00%4.98B1.00%4.98B-6.08%4.65B-4.06%4.81B-5.68%4.93B-8.03%4.93B-8.03%4.93B--4.95B
-Equity investments 1.34%4.65B-2.56%4.59B0.60%4.75B0.60%4.75B117.29%4.44B126.77%4.59B131.34%4.71B--4.72B--4.72B--2.04B
-Net loan --------------------------------------14.6M
Long term equity investment -1.16%51.3M11.84%51M42.51%52.3M42.51%52.3M-50.85%49M-46.99%51.9M-43.63%45.6M--36.7M--36.7M--99.7M
-Investments in other ventures under equity method -1.16%51.3M11.84%51M42.51%52.3M42.51%52.3M-50.85%49M-46.99%51.9M-43.63%45.6M--36.7M--36.7M--99.7M
-Short term investments 4.98%179.2M13.14%193.7M3.09%183.7M3.09%183.7M-93.96%169M-94.05%170.7M-94.44%171.2M--178.2M--178.2M--2.8B
Cash and cash equivalents 33.60%248.1M40.44%230.6M-1.50%197.5M-1.50%197.5M108.92%405.1M-30.79%185.7M-34.97%164.2M-48.23%200.5M-48.23%200.5M3,778.00%193.9M
Restricted cash and cash equivalents -21.95%209.8M-19.95%229.5M-19.23%244M-19.23%244M-49.88%257.3M-15.76%268.8M145.46%286.7M172.65%302.1M172.65%302.1M--513.4M
Reinsurance recoverable 6.29%321.2M6,632.00%326.6M-213.79%-9.1M-213.79%-9.1M53.26%305.9M105.86%302.2M-104.21%-5M-101.22%-2.9M-101.22%-2.9M--199.6M
Receivables -18.53%51M-86.19%50.5M-14.36%328.6M-14.36%328.6M-95.19%62.3M-95.03%62.6M-66.14%365.6M191,750.00%383.7M191,750.00%383.7M--1.29B
-Accounts receivable --------0.67%284.7M0.67%284.7M---------71.33%296.2M--282.8M--282.8M--1.19B
-Taxes receivable -84.04%3.4M-89.52%4.8M--0--0-78.72%22M-79.34%21.3M-2.14%45.8M40,750.00%81.7M40,750.00%81.7M--103.4M
-Other receivables 15.25%47.6M93.64%45.7M128.65%43.9M128.65%43.9M--40.3M--41.3M--23.6M--19.2M--19.2M----
Accrued investment income 3.67%25.4M9.15%31M0.75%26.8M0.75%26.8M13.57%31.8M3.81%24.5M11.81%28.4M--26.6M--26.6M--28M
Prepaid assets 25.67%42.1M----117.46%54.8M117.46%54.8M-----24.89%33.5M19.37%53M--25.2M--25.2M--45.6M
Deferred policy acquisition costs --------------------------------------319.1M
Net PPE 1.34%106M27.17%105.3M23.03%103.1M23.03%103.1M69.08%105M67.63%104.6M47.59%82.8M47.02%83.8M47.02%83.8M--62.1M
Goodwill and other intangible assets 30.26%1.31B68.31%1.3B59.40%1.23B59.40%1.23B328.66%1.01B339.08%1.01B239.39%771.1M251.21%771.6M251.21%771.6M--234.5M
-Goodwill --------69.35%572.4M69.35%572.4M--------------338M--338M----
-Other intangible assets --------51.64%657.5M51.64%657.5M--------------433.6M--433.6M----
Defined pension benefit 7.85%46.7M6.26%45.8M3.97%41.9M3.97%41.9M4.95%40.3M12.18%43.3M23.50%43.1M--40.3M--40.3M--38.4M
Deferred tax assets -9.46%20.1M-2.67%21.9M-6.35%23.6M-6.35%23.6M-63.07%21.9M-60.92%22.2M-60.39%22.5M8.15%25.2M8.15%25.2M--59.3M
Other assets ------39.1M18.18%35.1M18.18%35.1M--40.1M---------78.21%29.7M-78.21%29.7M----
Total assets 5.78%7.26B7.02%7.21B6.45%7.26B6.45%7.26B-12.78%6.93B-11.68%6.86B-10.37%6.74B4.31%6.82B4.31%6.82B158,768.00%7.94B
Liabilities
Policy holders liabilities reserve 1.02%3.42B-2.54%3.38B-2.35%3.49B-2.35%3.49B-30.12%3.53B-31.16%3.38B-27.43%3.46B-2.49%3.58B-2.49%3.58B--5.05B
Payables 15.16%71.4M55.95%74.7M121.82%172.8M121.82%172.8M-81.72%53.3M-74.39%62M-78.21%47.9M40.11%77.9M40.11%77.9M--291.6M
-Accounts payable -14.67%50.6M7.61%50.9M-29.53%54.9M-29.53%54.9M-75.53%49.7M-64.34%59.3M-71.71%47.3M--77.9M--77.9M--203.1M
-Total tax payable 670.37%20.8M3,866.67%23.8M--117.9M--117.9M--3.6M--2.7M--600K--0--0--0
-Other payable --------------------------------------88.5M
Long term debt and capital lease obligation 2.84%152.1M122.45%152.6M111.72%149.9M111.72%149.9M5,058.62%149.6M566.22%147.9M289.77%68.6M--70.8M--70.8M--2.9M
-Long term debt 0.00%114.3M200.00%114.3M192.33%114.3M192.33%114.3M--114.3M--114.3M--38.1M--39.1M--39.1M----
-Long term capital lease obligation 12.50%37.8M25.57%38.3M12.30%35.6M12.30%35.6M1,117.24%35.3M51.35%33.6M73.30%30.5M--31.7M--31.7M--2.9M
Long term provisions --3.5M--3.7M--8.5M--8.5M------------------------
Unrepurchased pre-sale securities --50.2M--100.5M--------------------------------
Employee benefits 9.40%34.9M9.58%34.3M11.90%32.9M11.90%32.9M-37.73%30.7M6.69%31.9M-2.80%31.3M--29.4M--29.4M--49.3M
Non current deferred liabilities 25.39%151.1M62.58%153.8M45.60%150.7M45.60%150.7M--119.7M--120.5M--94.6M498.27%103.5M498.27%103.5M----
Other liabilities -21.95%209.8M-19.95%229.5M-19.23%244M-19.23%244M-17.08%257.3M-15.76%268.8M145.46%286.7M24.99%302.1M24.99%302.1M--310.3M
Total liabilities 1.90%4.09B3.30%4.12B2.19%4.25B2.19%4.25B-27.43%4.14B-27.38%4.01B-22.61%3.99B4.47%4.16B4.47%4.16B--5.7B
Shareholders'equity
Share capital -0.54%2.27B0.12%2.28B0.83%2.27B0.83%2.27B0.63%2.28B0.07%2.28B-0.79%2.28B-2.32%2.25B-2.32%2.25B45,248.00%2.27B
-common stock -0.54%2.27B0.12%2.28B0.83%2.27B0.83%2.27B0.63%2.28B0.07%2.28B-0.79%2.28B-2.32%2.25B-2.32%2.25B45,248.00%2.27B
Additional paid-in capital -3.99%28.9M-6.97%22.7M0.50%40.4M0.50%40.4M0.87%34.7M6.74%30.1M3.39%24.4M108.29%40.2M108.29%40.2M--34.4M
Retained earnings 72.61%721M75.34%634.9M95.03%561.3M95.03%561.3M599.01%352.3M1,669.92%417.7M2,892.56%362.1M30.34%287.8M30.34%287.8M--50.4M
Gains losses not affecting retained earnings 63.55%-12.1M50.49%-15.3M16.67%-27M16.67%-27M68.73%-34.8M61.84%-33.2M-227.16%-30.9M-598.46%-32.4M-598.46%-32.4M---111.3M
Total stockholders equity 11.53%3.01B10.98%2.93B11.68%2.85B11.68%2.85B17.53%2.63B20.11%2.7B11.76%2.64B-0.18%2.55B-0.18%2.55B44,718.00%2.24B
Noncontrolling interests 6.29%163.8M47.17%161.3M46.73%159.2M46.73%159.2M--155.9M--154.1M--109.6M--108.5M--108.5M----
Total equity 11.25%3.17B12.42%3.09B13.11%3.01B13.11%3.01B24.49%2.79B26.98%2.85B16.40%2.75B4.07%2.66B4.07%2.66B44,718.00%2.24B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Heat List
CA
Overall
Symbol
Latest Price
% Chg

No Data