CA Stock MarketDetailed Quotes

FFH Fairfax Financial Holdings Ltd

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  • 1462.470
  • +15.200+1.05%
15min DelayMarket Closed Aug 8 16:00 ET
33.61BMarket Cap6.56P/E (TTM)

Fairfax Financial Holdings Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 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
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
176.68%169.3M
99.11%-39.4M
77.95%988.5M
134.59%317.9M
92.82%-220.8M
-14.64%-1.13B
-166.55%-4.42B
-54.90%555.5M
-124.79%-919.1M
-472.95%-3.08B
Net income from continuing operations
27.34%1.06B
33.66%5.09B
-32.49%1.67B
103.71%1.19B
1,581.74%829.1M
100.92%1.4B
3.96%3.81B
151.18%2.48B
1.15%582.7M
-96.15%49.3M
Operating gains losses
-148.66%-463M
-851.69%-3B
5.52%-1.58B
-254.39%-176M
-116.18%-186.2M
-7,668.49%-1.11B
90.80%-315.7M
-105.01%-1.67B
113.59%114M
181.58%1.15B
Securities amortization
20.91%-83.2M
-1,088.01%-406.3M
-90.78%-95.2M
-769.01%-123.4M
-5,636.84%-105.2M
-394.64%-82.5M
-152.62%-34.2M
-265.23%-49.9M
-174.35%-14.2M
-80.41%1.9M
Derivatives unrealized gains and losses
----
-46.38%-517M
-0.27%-302.4M
-764.73%-171.5M
----
----
48.17%-353.2M
-55.06%-301.6M
-74.78%25.8M
----
Remuneration paid in stock
3.35%40.1M
0.62%147M
5.56%34.2M
-38.08%36.1M
36.14%38.8M
40.89%37.9M
40.35%146.1M
13.68%32.4M
136.99%58.3M
9.62%28.5M
Deferred tax
278.57%100M
-64.32%173.3M
-166.45%-141.8M
79.92%137.1M
-176.09%-56M
91.02%234M
43.27%485.7M
404.49%213.4M
78.04%76.2M
-60.07%73.6M
Other non cash items
35.23%-778.7M
42.96%-5.5B
60.66%-388.1M
38.29%-1.63B
69.51%-1.2B
-10.03%-2.28B
-462.40%-9.64B
-344.36%-986.5M
-211.94%-2.64B
-1,083.02%-3.94B
Change in working capital
-46.19%145.5M
283.34%3.08B
136.26%1.57B
1.51%759.4M
139.83%270.4M
579.80%481.3M
-73.13%802.5M
64.84%662.5M
-37.93%748.1M
-176.96%-678.9M
-Change In restricted cash
----
-36.40%250.4M
----
----
----
----
183.31%393.7M
----
----
----
-Change in receivables
----
-58.27%-553.3M
----
----
----
----
87.64%-349.6M
----
----
----
-Change in loss and loss adjustment expense reserves
----
331.07%4.29B
----
----
----
----
-71.79%994.3M
----
----
----
-Change in reinsurance recoverable on paid and unpaid losses
----
-1,682.06%-723M
----
----
----
----
--45.7M
----
----
----
-Change in payables and accrued expense
----
331.12%239.7M
----
----
----
----
-95.94%55.6M
----
----
----
-Change in other working capital
----
-25.62%-423.6M
----
----
----
----
55.52%-337.2M
----
----
----
Cash from discontinued operating activities
Operating cash flow
176.68%169.3M
99.11%-39.4M
77.95%988.5M
134.59%317.9M
92.82%-220.8M
-14.64%-1.13B
-166.55%-4.42B
-54.90%555.5M
-124.79%-919.1M
-472.95%-3.08B
Investing cash flow
Cash flow from continuing investing activities
-1,003.03%-145.6M
-76.09%92M
-114.54%-139.7M
84.16%-33.2M
93.54%-13.2M
271.77%278.1M
-79.07%384.8M
990.35%960.6M
-112.56%-209.6M
-265.96%-204.3M
Net PPE purchase and sale
24.26%-102.1M
-22.73%-514.1M
-2.49%-139.7M
16.86%-85.8M
-80.70%-134.8M
-46.76%-153.8M
-18.37%-418.9M
-29.19%-136.3M
-13.16%-103.2M
-34.17%-74.6M
Net business purchase and sale
-125.10%-31.9M
-23.12%552.8M
-106.75%-72.5M
147.50%56.1M
169.76%127.1M
903.82%442.1M
-66.80%719M
652.31%1.07B
-106.73%-118.1M
-201.33%-182.2M
Net investment property transactions
-110.91%-11.6M
-37.07%53.3M
220.80%72.5M
-129.91%-3.5M
-110.48%-5.5M
-385.71%-10.2M
213.70%84.7M
-55.51%22.6M
152.47%11.7M
4,872.73%52.5M
Cash from discontinued investing activities
Investing cash flow
-1,003.03%-145.6M
-76.09%92M
-114.54%-139.7M
84.16%-33.2M
93.54%-13.2M
271.77%278.1M
-79.07%384.8M
990.35%960.6M
-112.56%-209.6M
-265.96%-204.3M
Financing cash flow
Cash flow from continuing financing activities
-11.30%-292.6M
17.57%-1.07B
72.15%-153.8M
-7,676.67%-227.3M
32.87%-262.9M
-19.62%-423.1M
-8.85%-1.29B
-93.04%-552.3M
100.56%3M
7.66%-391.6M
Net issuance payments of debt
2,102.95%747.1M
-94.87%42.4M
590.04%166.3M
-112.85%-102.9M
59.85%-37.3M
-82.73%16.3M
178.61%826.5M
109.38%24.1M
207.22%800.9M
56.67%-92.9M
Net common stock issuance
-2,931.76%-773.1M
-4.43%-363.2M
-58.88%-122.5M
22.93%-92.1M
71.19%-25.5M
-96.33%-123.1M
70.79%-347.8M
92.43%-77.1M
-402.10%-119.5M
-40.03%-88.5M
Cash dividends paid
1.60%-12.3M
0.07%-294.9M
-9.40%-12.8M
-11.82%-12.3M
-10.62%-12.5M
1.46%-257.3M
6.79%-295.1M
-6.36%-11.7M
0.00%-11M
0.88%-11.3M
Net other financing charges
-35.55%-254.3M
69.46%-451.4M
62.10%-184.8M
97.00%-20M
5.68%-187.6M
52.53%-59M
-207.95%-1.48B
-148.73%-487.6M
-369.98%-667.4M
-47.22%-198.9M
Cash from discontinued financing activities
Financing cash flow
-11.30%-292.6M
17.57%-1.07B
72.15%-153.8M
-7,676.67%-227.3M
32.87%-262.9M
-19.62%-423.1M
-8.85%-1.29B
-93.04%-552.3M
100.56%3M
7.66%-391.6M
Net cash flow
Beginning cash position
35.06%6.56B
-47.63%6.12B
-14.10%4.39B
-31.22%4.37B
-52.20%4.86B
-47.63%6.12B
161.59%11.69B
-52.13%5.11B
7.55%6.35B
89.94%10.16B
Current changes in cash
45.88%-268.9M
80.97%-1.01B
-27.89%695M
105.10%57.4M
86.46%-496.9M
15.16%-1.27B
-173.11%-5.33B
-6.77%963.8M
-123.25%-1.13B
-801.22%-3.67B
Effect of exchange rate changes
-767.65%-22.7M
106.90%16.3M
-19.41%38.2M
69.31%-34.4M
102.31%3.4M
137.30%9.1M
-227.92%-236.1M
346.88%47.4M
-58.11%-112.1M
-658.94%-147M
End cash Position
43.65%6.27B
-16.31%5.12B
-16.31%5.12B
-14.10%4.39B
-31.22%4.37B
-52.20%4.86B
-47.63%6.12B
-47.63%6.12B
-52.13%5.11B
7.55%6.35B
Free cash flow
118.90%67.2M
88.56%-553.5M
102.48%848.8M
122.70%232.1M
88.71%-355.6M
-17.74%-1.28B
-176.96%-4.84B
-62.78%419.2M
-128.27%-1.02B
-509.62%-3.15B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q2)Jun 30, 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(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 176.68%169.3M99.11%-39.4M77.95%988.5M134.59%317.9M92.82%-220.8M-14.64%-1.13B-166.55%-4.42B-54.90%555.5M-124.79%-919.1M-472.95%-3.08B
Net income from continuing operations 27.34%1.06B33.66%5.09B-32.49%1.67B103.71%1.19B1,581.74%829.1M100.92%1.4B3.96%3.81B151.18%2.48B1.15%582.7M-96.15%49.3M
Operating gains losses -148.66%-463M-851.69%-3B5.52%-1.58B-254.39%-176M-116.18%-186.2M-7,668.49%-1.11B90.80%-315.7M-105.01%-1.67B113.59%114M181.58%1.15B
Securities amortization 20.91%-83.2M-1,088.01%-406.3M-90.78%-95.2M-769.01%-123.4M-5,636.84%-105.2M-394.64%-82.5M-152.62%-34.2M-265.23%-49.9M-174.35%-14.2M-80.41%1.9M
Derivatives unrealized gains and losses -----46.38%-517M-0.27%-302.4M-764.73%-171.5M--------48.17%-353.2M-55.06%-301.6M-74.78%25.8M----
Remuneration paid in stock 3.35%40.1M0.62%147M5.56%34.2M-38.08%36.1M36.14%38.8M40.89%37.9M40.35%146.1M13.68%32.4M136.99%58.3M9.62%28.5M
Deferred tax 278.57%100M-64.32%173.3M-166.45%-141.8M79.92%137.1M-176.09%-56M91.02%234M43.27%485.7M404.49%213.4M78.04%76.2M-60.07%73.6M
Other non cash items 35.23%-778.7M42.96%-5.5B60.66%-388.1M38.29%-1.63B69.51%-1.2B-10.03%-2.28B-462.40%-9.64B-344.36%-986.5M-211.94%-2.64B-1,083.02%-3.94B
Change in working capital -46.19%145.5M283.34%3.08B136.26%1.57B1.51%759.4M139.83%270.4M579.80%481.3M-73.13%802.5M64.84%662.5M-37.93%748.1M-176.96%-678.9M
-Change In restricted cash -----36.40%250.4M----------------183.31%393.7M------------
-Change in receivables -----58.27%-553.3M----------------87.64%-349.6M------------
-Change in loss and loss adjustment expense reserves ----331.07%4.29B-----------------71.79%994.3M------------
-Change in reinsurance recoverable on paid and unpaid losses -----1,682.06%-723M------------------45.7M------------
-Change in payables and accrued expense ----331.12%239.7M-----------------95.94%55.6M------------
-Change in other working capital -----25.62%-423.6M----------------55.52%-337.2M------------
Cash from discontinued operating activities
Operating cash flow 176.68%169.3M99.11%-39.4M77.95%988.5M134.59%317.9M92.82%-220.8M-14.64%-1.13B-166.55%-4.42B-54.90%555.5M-124.79%-919.1M-472.95%-3.08B
Investing cash flow
Cash flow from continuing investing activities -1,003.03%-145.6M-76.09%92M-114.54%-139.7M84.16%-33.2M93.54%-13.2M271.77%278.1M-79.07%384.8M990.35%960.6M-112.56%-209.6M-265.96%-204.3M
Net PPE purchase and sale 24.26%-102.1M-22.73%-514.1M-2.49%-139.7M16.86%-85.8M-80.70%-134.8M-46.76%-153.8M-18.37%-418.9M-29.19%-136.3M-13.16%-103.2M-34.17%-74.6M
Net business purchase and sale -125.10%-31.9M-23.12%552.8M-106.75%-72.5M147.50%56.1M169.76%127.1M903.82%442.1M-66.80%719M652.31%1.07B-106.73%-118.1M-201.33%-182.2M
Net investment property transactions -110.91%-11.6M-37.07%53.3M220.80%72.5M-129.91%-3.5M-110.48%-5.5M-385.71%-10.2M213.70%84.7M-55.51%22.6M152.47%11.7M4,872.73%52.5M
Cash from discontinued investing activities
Investing cash flow -1,003.03%-145.6M-76.09%92M-114.54%-139.7M84.16%-33.2M93.54%-13.2M271.77%278.1M-79.07%384.8M990.35%960.6M-112.56%-209.6M-265.96%-204.3M
Financing cash flow
Cash flow from continuing financing activities -11.30%-292.6M17.57%-1.07B72.15%-153.8M-7,676.67%-227.3M32.87%-262.9M-19.62%-423.1M-8.85%-1.29B-93.04%-552.3M100.56%3M7.66%-391.6M
Net issuance payments of debt 2,102.95%747.1M-94.87%42.4M590.04%166.3M-112.85%-102.9M59.85%-37.3M-82.73%16.3M178.61%826.5M109.38%24.1M207.22%800.9M56.67%-92.9M
Net common stock issuance -2,931.76%-773.1M-4.43%-363.2M-58.88%-122.5M22.93%-92.1M71.19%-25.5M-96.33%-123.1M70.79%-347.8M92.43%-77.1M-402.10%-119.5M-40.03%-88.5M
Cash dividends paid 1.60%-12.3M0.07%-294.9M-9.40%-12.8M-11.82%-12.3M-10.62%-12.5M1.46%-257.3M6.79%-295.1M-6.36%-11.7M0.00%-11M0.88%-11.3M
Net other financing charges -35.55%-254.3M69.46%-451.4M62.10%-184.8M97.00%-20M5.68%-187.6M52.53%-59M-207.95%-1.48B-148.73%-487.6M-369.98%-667.4M-47.22%-198.9M
Cash from discontinued financing activities
Financing cash flow -11.30%-292.6M17.57%-1.07B72.15%-153.8M-7,676.67%-227.3M32.87%-262.9M-19.62%-423.1M-8.85%-1.29B-93.04%-552.3M100.56%3M7.66%-391.6M
Net cash flow
Beginning cash position 35.06%6.56B-47.63%6.12B-14.10%4.39B-31.22%4.37B-52.20%4.86B-47.63%6.12B161.59%11.69B-52.13%5.11B7.55%6.35B89.94%10.16B
Current changes in cash 45.88%-268.9M80.97%-1.01B-27.89%695M105.10%57.4M86.46%-496.9M15.16%-1.27B-173.11%-5.33B-6.77%963.8M-123.25%-1.13B-801.22%-3.67B
Effect of exchange rate changes -767.65%-22.7M106.90%16.3M-19.41%38.2M69.31%-34.4M102.31%3.4M137.30%9.1M-227.92%-236.1M346.88%47.4M-58.11%-112.1M-658.94%-147M
End cash Position 43.65%6.27B-16.31%5.12B-16.31%5.12B-14.10%4.39B-31.22%4.37B-52.20%4.86B-47.63%6.12B-47.63%6.12B-52.13%5.11B7.55%6.35B
Free cash flow 118.90%67.2M88.56%-553.5M102.48%848.8M122.70%232.1M88.71%-355.6M-17.74%-1.28B-176.96%-4.84B-62.78%419.2M-128.27%-1.02B-509.62%-3.15B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------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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