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DFY Definity Financial Corp

Watchlist
  • 61.660
  • -1.340-2.13%
15min DelayMarket Closed Feb 14 16:00 ET
7.03BMarket Cap16.71P/E (TTM)

Definity Financial Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Assets
Total investments
6.72%5.32B
6.72%5.32B
9.91%5.11B
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
-Equity investments
7.17%5.09B
7.17%5.09B
10.35%4.89B
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
Long term equity investment
-9.18%47.5M
-9.18%47.5M
-8.16%45M
-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
-Investments in other ventures under equity method
-9.18%47.5M
-9.18%47.5M
-8.16%45M
-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
-Short term investments
-0.49%182.8M
-0.49%182.8M
3.55%175M
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
Cash and cash equivalents
63.09%322.1M
63.09%322.1M
-39.30%245.9M
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
Restricted cash and cash equivalents
-93.93%14.8M
-93.93%14.8M
-27.83%185.7M
-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
Reinsurance recoverable
-60.44%-14.6M
-60.44%-14.6M
17.03%358M
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
Receivables
15.70%380.2M
15.70%380.2M
-8.99%56.7M
-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
-Accounts receivable
13.35%322.7M
13.35%322.7M
----
----
----
0.67%284.7M
0.67%284.7M
----
----
-71.33%296.2M
-Taxes receivable
--6.7M
--6.7M
-74.09%5.7M
-84.04%3.4M
-89.52%4.8M
--0
--0
-78.72%22M
-79.34%21.3M
-2.14%45.8M
-Other receivables
15.72%50.8M
15.72%50.8M
26.55%51M
15.25%47.6M
93.64%45.7M
128.65%43.9M
128.65%43.9M
--40.3M
--41.3M
--23.6M
Accrued investment income
11.19%29.8M
11.19%29.8M
2.52%32.6M
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
Prepaid assets
-30.47%38.1M
-30.47%38.1M
--42.9M
25.67%42.1M
----
117.46%54.8M
117.46%54.8M
----
-24.89%33.5M
19.37%53M
Net PPE
1.65%104.8M
1.65%104.8M
0.00%105M
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
Goodwill and other intangible assets
13.63%1.4B
13.63%1.4B
32.07%1.33B
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
-Goodwill
19.90%686.3M
19.90%686.3M
----
----
----
69.35%572.4M
69.35%572.4M
----
----
----
-Other intangible assets
8.17%711.2M
8.17%711.2M
----
----
----
51.64%657.5M
51.64%657.5M
----
----
----
Defined pension benefit
14.80%48.1M
14.80%48.1M
20.35%48.5M
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
Deferred tax assets
-44.07%13.2M
-44.07%13.2M
-34.25%14.4M
-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
Other assets
17.66%41.3M
17.66%41.3M
----
----
--39.1M
18.18%35.1M
18.18%35.1M
--40.1M
----
----
Total assets
5.98%7.69B
5.98%7.69B
8.71%7.53B
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
Liabilities
Policy holders liabilities reserve
3.13%3.6B
3.13%3.6B
3.72%3.66B
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
Payables
-64.12%42.3M
-64.12%42.3M
802.78%32.5M
670.37%20.8M
3,866.67%23.8M
--117.9M
--117.9M
-97.06%3.6M
-97.28%2.7M
-99.31%600K
-Total tax payable
-64.12%42.3M
-64.12%42.3M
802.78%32.5M
670.37%20.8M
3,866.67%23.8M
--117.9M
--117.9M
--3.6M
--2.7M
--600K
Long term debt and capital lease obligation
-0.27%149.5M
-0.27%149.5M
1.14%151.3M
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
-Long term debt
0.00%114.3M
0.00%114.3M
0.00%114.3M
0.00%114.3M
200.00%114.3M
192.33%114.3M
192.33%114.3M
--114.3M
--114.3M
--38.1M
-Long term capital lease obligation
-1.12%35.2M
-1.12%35.2M
4.82%37M
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
Long term provisions
-52.94%4M
-52.94%4M
--4.3M
--3.5M
--3.7M
--8.5M
--8.5M
----
----
----
Unrepurchased pre-sale securities
--110.1M
--110.1M
----
--50.2M
--100.5M
--0
--0
----
----
----
Employee benefits
9.12%35.9M
9.12%35.9M
22.80%37.7M
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
Non current deferred liabilities
2.39%154.3M
2.39%154.3M
25.40%150.1M
25.39%151.1M
62.58%153.8M
45.60%150.7M
45.60%150.7M
--119.7M
--120.5M
--94.6M
Other liabilities
-70.63%87.8M
-70.63%87.8M
-22.80%237M
-20.63%260.4M
-16.05%280.4M
-21.34%298.9M
-21.34%298.9M
-35.97%307M
-29.00%328.1M
33.65%334M
Total liabilities
-1.54%4.19B
-1.54%4.19B
3.22%4.27B
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
Shareholders'equity
Share capital
-2.31%2.22B
-2.31%2.22B
-1.19%2.25B
-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
-common stock
-2.31%2.22B
-2.31%2.22B
-1.19%2.25B
-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
Additional paid-in capital
4.95%42.4M
4.95%42.4M
-0.58%34.5M
-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
Retained earnings
88.51%1.06B
88.51%1.06B
129.41%808.2M
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
Gains losses not affecting retained earnings
95.93%-1.1M
95.93%-1.1M
78.16%-7.6M
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
Total stockholders equity
16.58%3.32B
16.58%3.32B
17.31%3.09B
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
Noncontrolling interests
17.02%186.3M
17.02%186.3M
9.17%170.2M
6.29%163.8M
47.17%161.3M
46.73%159.2M
46.73%159.2M
--155.9M
--154.1M
--109.6M
Total equity
16.60%3.51B
16.60%3.51B
16.85%3.26B
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
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Assets
Total investments 6.72%5.32B6.72%5.32B9.91%5.11B1.45%4.88B-1.88%4.83B1.00%4.98B1.00%4.98B-6.08%4.65B-4.06%4.81B-5.68%4.93B
-Equity investments 7.17%5.09B7.17%5.09B10.35%4.89B1.34%4.65B-2.56%4.59B0.60%4.75B0.60%4.75B117.29%4.44B126.77%4.59B131.34%4.71B
Long term equity investment -9.18%47.5M-9.18%47.5M-8.16%45M-1.16%51.3M11.84%51M42.51%52.3M42.51%52.3M-50.85%49M-46.99%51.9M-43.63%45.6M
-Investments in other ventures under equity method -9.18%47.5M-9.18%47.5M-8.16%45M-1.16%51.3M11.84%51M42.51%52.3M42.51%52.3M-50.85%49M-46.99%51.9M-43.63%45.6M
-Short term investments -0.49%182.8M-0.49%182.8M3.55%175M4.98%179.2M13.14%193.7M3.09%183.7M3.09%183.7M-93.96%169M-94.05%170.7M-94.44%171.2M
Cash and cash equivalents 63.09%322.1M63.09%322.1M-39.30%245.9M33.60%248.1M40.44%230.6M-1.50%197.5M-1.50%197.5M108.92%405.1M-30.79%185.7M-34.97%164.2M
Restricted cash and cash equivalents -93.93%14.8M-93.93%14.8M-27.83%185.7M-21.95%209.8M-19.95%229.5M-19.23%244M-19.23%244M-49.88%257.3M-15.76%268.8M145.46%286.7M
Reinsurance recoverable -60.44%-14.6M-60.44%-14.6M17.03%358M6.29%321.2M6,632.00%326.6M-213.79%-9.1M-213.79%-9.1M53.26%305.9M105.86%302.2M-104.21%-5M
Receivables 15.70%380.2M15.70%380.2M-8.99%56.7M-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
-Accounts receivable 13.35%322.7M13.35%322.7M------------0.67%284.7M0.67%284.7M---------71.33%296.2M
-Taxes receivable --6.7M--6.7M-74.09%5.7M-84.04%3.4M-89.52%4.8M--0--0-78.72%22M-79.34%21.3M-2.14%45.8M
-Other receivables 15.72%50.8M15.72%50.8M26.55%51M15.25%47.6M93.64%45.7M128.65%43.9M128.65%43.9M--40.3M--41.3M--23.6M
Accrued investment income 11.19%29.8M11.19%29.8M2.52%32.6M3.67%25.4M9.15%31M0.75%26.8M0.75%26.8M13.57%31.8M3.81%24.5M11.81%28.4M
Prepaid assets -30.47%38.1M-30.47%38.1M--42.9M25.67%42.1M----117.46%54.8M117.46%54.8M-----24.89%33.5M19.37%53M
Net PPE 1.65%104.8M1.65%104.8M0.00%105M1.34%106M27.17%105.3M23.03%103.1M23.03%103.1M69.08%105M67.63%104.6M47.59%82.8M
Goodwill and other intangible assets 13.63%1.4B13.63%1.4B32.07%1.33B30.26%1.31B68.31%1.3B59.40%1.23B59.40%1.23B328.66%1.01B339.08%1.01B239.39%771.1M
-Goodwill 19.90%686.3M19.90%686.3M------------69.35%572.4M69.35%572.4M------------
-Other intangible assets 8.17%711.2M8.17%711.2M------------51.64%657.5M51.64%657.5M------------
Defined pension benefit 14.80%48.1M14.80%48.1M20.35%48.5M7.85%46.7M6.26%45.8M3.97%41.9M3.97%41.9M4.95%40.3M12.18%43.3M23.50%43.1M
Deferred tax assets -44.07%13.2M-44.07%13.2M-34.25%14.4M-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
Other assets 17.66%41.3M17.66%41.3M----------39.1M18.18%35.1M18.18%35.1M--40.1M--------
Total assets 5.98%7.69B5.98%7.69B8.71%7.53B5.78%7.26B7.02%7.21B6.45%7.26B6.45%7.26B-12.78%6.93B-11.68%6.86B-10.37%6.74B
Liabilities
Policy holders liabilities reserve 3.13%3.6B3.13%3.6B3.72%3.66B1.02%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
Payables -64.12%42.3M-64.12%42.3M802.78%32.5M670.37%20.8M3,866.67%23.8M--117.9M--117.9M-97.06%3.6M-97.28%2.7M-99.31%600K
-Total tax payable -64.12%42.3M-64.12%42.3M802.78%32.5M670.37%20.8M3,866.67%23.8M--117.9M--117.9M--3.6M--2.7M--600K
Long term debt and capital lease obligation -0.27%149.5M-0.27%149.5M1.14%151.3M2.84%152.1M122.45%152.6M111.72%149.9M111.72%149.9M5,058.62%149.6M566.22%147.9M289.77%68.6M
-Long term debt 0.00%114.3M0.00%114.3M0.00%114.3M0.00%114.3M200.00%114.3M192.33%114.3M192.33%114.3M--114.3M--114.3M--38.1M
-Long term capital lease obligation -1.12%35.2M-1.12%35.2M4.82%37M12.50%37.8M25.57%38.3M12.30%35.6M12.30%35.6M1,117.24%35.3M51.35%33.6M73.30%30.5M
Long term provisions -52.94%4M-52.94%4M--4.3M--3.5M--3.7M--8.5M--8.5M------------
Unrepurchased pre-sale securities --110.1M--110.1M------50.2M--100.5M--0--0------------
Employee benefits 9.12%35.9M9.12%35.9M22.80%37.7M9.40%34.9M9.58%34.3M11.90%32.9M11.90%32.9M-37.73%30.7M6.69%31.9M-2.80%31.3M
Non current deferred liabilities 2.39%154.3M2.39%154.3M25.40%150.1M25.39%151.1M62.58%153.8M45.60%150.7M45.60%150.7M--119.7M--120.5M--94.6M
Other liabilities -70.63%87.8M-70.63%87.8M-22.80%237M-20.63%260.4M-16.05%280.4M-21.34%298.9M-21.34%298.9M-35.97%307M-29.00%328.1M33.65%334M
Total liabilities -1.54%4.19B-1.54%4.19B3.22%4.27B1.90%4.09B3.30%4.12B2.19%4.25B2.19%4.25B-27.43%4.14B-27.38%4.01B-22.61%3.99B
Shareholders'equity
Share capital -2.31%2.22B-2.31%2.22B-1.19%2.25B-0.54%2.27B0.12%2.28B0.83%2.27B0.83%2.27B0.63%2.28B0.07%2.28B-0.79%2.28B
-common stock -2.31%2.22B-2.31%2.22B-1.19%2.25B-0.54%2.27B0.12%2.28B0.83%2.27B0.83%2.27B0.63%2.28B0.07%2.28B-0.79%2.28B
Additional paid-in capital 4.95%42.4M4.95%42.4M-0.58%34.5M-3.99%28.9M-6.97%22.7M0.50%40.4M0.50%40.4M0.87%34.7M6.74%30.1M3.39%24.4M
Retained earnings 88.51%1.06B88.51%1.06B129.41%808.2M72.61%721M75.34%634.9M95.03%561.3M95.03%561.3M599.01%352.3M1,669.92%417.7M2,892.56%362.1M
Gains losses not affecting retained earnings 95.93%-1.1M95.93%-1.1M78.16%-7.6M63.55%-12.1M50.49%-15.3M16.67%-27M16.67%-27M68.73%-34.8M61.84%-33.2M-227.16%-30.9M
Total stockholders equity 16.58%3.32B16.58%3.32B17.31%3.09B11.53%3.01B10.98%2.93B11.68%2.85B11.68%2.85B17.53%2.63B20.11%2.7B11.76%2.64B
Noncontrolling interests 17.02%186.3M17.02%186.3M9.17%170.2M6.29%163.8M47.17%161.3M46.73%159.2M46.73%159.2M--155.9M--154.1M--109.6M
Total equity 16.60%3.51B16.60%3.51B16.85%3.26B11.25%3.17B12.42%3.09B13.11%3.01B13.11%3.01B24.49%2.79B26.98%2.85B16.40%2.75B
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.

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Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.

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