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IAG iA Financial Corp Inc

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  • 133.360
  • +1.080+0.82%
15min DelayTrading Nov 27 15:26 ET
12.52BMarket Cap13.50P/E (TTM)

iA Financial Corp Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Total investments
10.92%42.5B
2.44%40.65B
3.63%40.12B
10.78%41.35B
10.78%41.35B
0.41%38.32B
5.52%39.69B
-4.64%38.72B
-15.83%37.32B
-15.83%37.32B
-Fixed maturity investments
----
4.09%29.72B
6.05%29.5B
14.64%29.94B
14.64%29.94B
0.55%27.13B
7.46%28.55B
-5.56%27.81B
-21.16%26.12B
-21.16%26.12B
-Equity investments
823.70%36.14B
17.64%4.57B
11.69%4.32B
1.02%4.07B
1.02%4.07B
0.57%3.91B
1.07%3.88B
-4.56%3.87B
3.89%4.03B
3.89%4.03B
-Net loan
-4.55%3.55B
-2.87%3.59B
-4.16%3.57B
-1.19%3.66B
-1.19%3.66B
-7.14%3.72B
-8.95%3.7B
-8.07%3.72B
-4.29%3.7B
-4.29%3.7B
-Derivative assets
-17.81%1.12B
-17.87%1.04B
-1.02%975M
80.51%1.79B
80.51%1.79B
40.10%1.36B
71.41%1.27B
55.61%985M
7.96%990M
7.96%990M
-Other invested assets
-22.62%1.7B
-24.11%1.74B
-24.19%1.76B
-23.86%1.89B
-23.86%1.89B
-5.09%2.2B
-4.58%2.29B
-3.68%2.33B
-2.66%2.49B
-2.66%2.49B
Cash and cash equivalents
76.22%2.1B
0.86%1.99B
-24.83%1.46B
1.55%1.38B
1.55%1.38B
1.97%1.19B
41.94%1.97B
35.54%1.95B
-12.16%1.36B
-12.16%1.36B
Restricted cash and cash equivalents
----
----
----
3.41%911M
3.41%911M
----
----
----
--881M
--881M
Reinsurance recoverable
21.65%2.78B
18.32%2.62B
13.43%2.4B
12.89%2.31B
12.89%2.31B
-8.67%2.29B
-1.25%2.22B
-1.90%2.12B
8.36%2.05B
8.36%2.05B
Receivables
----
----
----
14.62%1.56B
14.62%1.56B
----
----
----
--1.36B
--1.36B
-Accounts receivable
----
----
----
26.63%1.18B
26.63%1.18B
----
----
----
--935M
--935M
-Taxes receivable
----
----
----
-26.38%173M
-26.38%173M
----
----
----
--235M
--235M
-Other receivables
----
----
----
6.28%203M
6.28%203M
----
----
----
--191M
--191M
Accrued investment income
----
----
----
19.87%380M
19.87%380M
----
----
----
--317M
--317M
Prepaid assets
----
----
----
15.94%80M
15.94%80M
----
----
----
--69M
--69M
Deferred assets
----
----
----
6.52%49M
6.52%49M
----
----
----
--46M
--46M
Net PPE
-3.08%315M
-1.55%318M
-2.42%322M
-3.65%211M
-3.65%211M
-8.96%325M
-10.03%323M
-10.33%330M
-9.88%219M
-9.88%219M
Goodwill and other intangible assets
5.98%3.37B
6.37%3.36B
2.14%3.19B
2.03%3.17B
2.03%3.17B
2.38%3.18B
3.24%3.15B
4.51%3.13B
4.27%3.1B
4.27%3.1B
-Goodwill
6.59%1.42B
8.39%1.43B
1.37%1.34B
0.00%1.32B
0.00%1.32B
0.53%1.34B
3.28%1.32B
4.60%1.32B
4.03%1.32B
4.03%1.32B
-Other intangible assets
5.53%1.95B
4.92%1.92B
2.71%1.86B
3.53%1.85B
3.53%1.85B
3.77%1.84B
3.21%1.83B
4.45%1.81B
4.45%1.78B
4.45%1.78B
Defined pension benefit
----
----
----
--134M
--134M
----
----
----
--0
--0
Separate account assets
27.44%49.86B
16.41%46.58B
14.87%45.19B
12.06%41.84B
12.06%41.84B
10.30%39.12B
12.33%40.02B
1.21%39.34B
-5.67%37.33B
-5.67%37.33B
Deferred tax assets
113.78%419M
252.21%398M
133.05%275M
141.07%270M
141.07%270M
117.78%196M
68.66%113M
227.78%118M
0.90%112M
0.90%112M
Other assets
35.27%4.38B
47.42%4.54B
32.32%4.44B
-18.29%210M
-18.29%210M
-29.01%3.24B
-25.63%3.08B
-21.03%3.35B
-91.24%257M
-91.24%257M
Total assets
20.34%105.72B
10.93%100.46B
9.38%97.41B
11.16%93.85B
11.16%93.85B
2.86%87.85B
7.18%90.56B
-1.83%89.05B
-9.82%84.43B
-9.82%84.43B
Liabilities
Policy holders liabilities reserve
21.19%35.61B
5.27%33.51B
5.97%32.72B
13.29%33.63B
13.29%33.63B
-0.50%29.38B
9.99%31.84B
-4.30%30.87B
-19.93%29.69B
-19.93%29.69B
Payables
----
----
----
32.63%1.58B
32.63%1.58B
----
----
----
--1.19B
--1.19B
-Accounts payable
----
----
----
28.23%1.38B
28.23%1.38B
----
----
----
--1.08B
--1.08B
-Total tax payable
----
----
----
73.91%200M
73.91%200M
----
----
----
--115M
--115M
Derivative product liabilities
-41.55%906M
-2.04%815M
-28.64%892M
-35.49%1.12B
-35.49%1.12B
-4.20%1.55B
-52.35%832M
9.65%1.25B
248.09%1.73B
248.09%1.73B
Long term debt and capital lease obligation
-0.20%1.5B
-21.18%1.5B
0.00%1.5B
-9.58%1.87B
-9.58%1.87B
0.00%1.5B
26.62%1.9B
0.13%1.5B
42.48%2.07B
42.48%2.07B
-Long term debt
-0.20%1.5B
-21.18%1.5B
0.00%1.5B
-9.97%1.76B
-9.97%1.76B
0.00%1.5B
26.62%1.9B
0.13%1.5B
34.90%1.96B
34.90%1.96B
-Long term capital lease obligation
----
----
----
-2.73%107M
-2.73%107M
----
----
----
--110M
--110M
Unrepurchased pre-sale securities
----
----
----
--10M
--10M
----
----
----
--0
--0
Employee benefits
----
----
----
16.28%200M
16.28%200M
----
----
----
--172M
--172M
Separate account liability
27.44%49.86B
16.41%46.58B
14.87%45.19B
12.06%41.84B
12.06%41.84B
10.30%39.12B
12.33%40.02B
1.21%39.34B
-5.67%37.33B
-5.67%37.33B
Non current deferred liabilities
-4.29%312M
-9.67%299M
-12.91%317M
-11.88%319M
-11.88%319M
-4.68%326M
-4.34%331M
-10.34%364M
-31.18%362M
-31.18%362M
Other liabilities
13.89%10.22B
21.20%10.38B
11.44%9.63B
31.24%6.25B
31.24%6.25B
-8.67%8.97B
-7.65%8.57B
-7.99%8.64B
-34.72%4.76B
-34.72%4.76B
Total liabilities
21.70%98.39B
11.51%93.09B
10.10%90.25B
12.30%86.81B
12.30%86.81B
3.28%80.85B
7.80%83.48B
-1.91%81.97B
-10.55%77.3B
-10.55%77.3B
Shareholders'equity
Share capital
5.88%2.13B
11.86%2.26B
-3.83%1.96B
-10.09%1.98B
-10.09%1.98B
-9.02%2.01B
-8.96%2.02B
-9.15%2.04B
-1.39%2.2B
-1.39%2.2B
-common stock
-6.56%1.53B
-6.67%1.54B
-4.70%1.58B
-4.30%1.6B
-4.30%1.6B
-2.91%1.63B
-2.89%1.65B
-3.21%1.66B
-1.82%1.68B
-1.82%1.68B
-Preferred stock
60.00%600M
93.33%725M
0.00%375M
-28.57%375M
-28.57%375M
-28.57%375M
-28.57%375M
-28.57%375M
0.00%525M
0.00%525M
Additional paid-in capital
-5.88%16M
0.00%17M
5.88%18M
0.00%17M
0.00%17M
0.00%17M
0.00%17M
6.25%17M
0.00%17M
0.00%17M
Retained earnings
4.38%5.17B
0.46%5.07B
3.34%5.17B
3.50%5.06B
3.50%5.06B
-6.45%4.96B
-3.41%5.05B
-2.19%5B
-1.41%4.89B
-1.41%4.89B
Gains losses not affecting retained earnings
-52.17%11M
2,700.00%26M
-39.13%14M
-180.95%-17M
-180.95%-17M
105.45%23M
99.77%-1M
108.30%23M
--21M
--21M
Total stockholders equity
4.60%7.33B
4.09%7.37B
1.14%7.16B
-1.25%7.04B
-1.25%7.04B
-1.84%7B
0.38%7.08B
-0.90%7.08B
-1.11%7.13B
-1.11%7.13B
Total equity
4.60%7.33B
4.09%7.37B
1.14%7.16B
-1.25%7.04B
-1.25%7.04B
-1.84%7B
0.38%7.08B
-0.90%7.08B
-1.11%7.13B
-1.11%7.13B
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
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Total investments 10.92%42.5B2.44%40.65B3.63%40.12B10.78%41.35B10.78%41.35B0.41%38.32B5.52%39.69B-4.64%38.72B-15.83%37.32B-15.83%37.32B
-Fixed maturity investments ----4.09%29.72B6.05%29.5B14.64%29.94B14.64%29.94B0.55%27.13B7.46%28.55B-5.56%27.81B-21.16%26.12B-21.16%26.12B
-Equity investments 823.70%36.14B17.64%4.57B11.69%4.32B1.02%4.07B1.02%4.07B0.57%3.91B1.07%3.88B-4.56%3.87B3.89%4.03B3.89%4.03B
-Net loan -4.55%3.55B-2.87%3.59B-4.16%3.57B-1.19%3.66B-1.19%3.66B-7.14%3.72B-8.95%3.7B-8.07%3.72B-4.29%3.7B-4.29%3.7B
-Derivative assets -17.81%1.12B-17.87%1.04B-1.02%975M80.51%1.79B80.51%1.79B40.10%1.36B71.41%1.27B55.61%985M7.96%990M7.96%990M
-Other invested assets -22.62%1.7B-24.11%1.74B-24.19%1.76B-23.86%1.89B-23.86%1.89B-5.09%2.2B-4.58%2.29B-3.68%2.33B-2.66%2.49B-2.66%2.49B
Cash and cash equivalents 76.22%2.1B0.86%1.99B-24.83%1.46B1.55%1.38B1.55%1.38B1.97%1.19B41.94%1.97B35.54%1.95B-12.16%1.36B-12.16%1.36B
Restricted cash and cash equivalents ------------3.41%911M3.41%911M--------------881M--881M
Reinsurance recoverable 21.65%2.78B18.32%2.62B13.43%2.4B12.89%2.31B12.89%2.31B-8.67%2.29B-1.25%2.22B-1.90%2.12B8.36%2.05B8.36%2.05B
Receivables ------------14.62%1.56B14.62%1.56B--------------1.36B--1.36B
-Accounts receivable ------------26.63%1.18B26.63%1.18B--------------935M--935M
-Taxes receivable -------------26.38%173M-26.38%173M--------------235M--235M
-Other receivables ------------6.28%203M6.28%203M--------------191M--191M
Accrued investment income ------------19.87%380M19.87%380M--------------317M--317M
Prepaid assets ------------15.94%80M15.94%80M--------------69M--69M
Deferred assets ------------6.52%49M6.52%49M--------------46M--46M
Net PPE -3.08%315M-1.55%318M-2.42%322M-3.65%211M-3.65%211M-8.96%325M-10.03%323M-10.33%330M-9.88%219M-9.88%219M
Goodwill and other intangible assets 5.98%3.37B6.37%3.36B2.14%3.19B2.03%3.17B2.03%3.17B2.38%3.18B3.24%3.15B4.51%3.13B4.27%3.1B4.27%3.1B
-Goodwill 6.59%1.42B8.39%1.43B1.37%1.34B0.00%1.32B0.00%1.32B0.53%1.34B3.28%1.32B4.60%1.32B4.03%1.32B4.03%1.32B
-Other intangible assets 5.53%1.95B4.92%1.92B2.71%1.86B3.53%1.85B3.53%1.85B3.77%1.84B3.21%1.83B4.45%1.81B4.45%1.78B4.45%1.78B
Defined pension benefit --------------134M--134M--------------0--0
Separate account assets 27.44%49.86B16.41%46.58B14.87%45.19B12.06%41.84B12.06%41.84B10.30%39.12B12.33%40.02B1.21%39.34B-5.67%37.33B-5.67%37.33B
Deferred tax assets 113.78%419M252.21%398M133.05%275M141.07%270M141.07%270M117.78%196M68.66%113M227.78%118M0.90%112M0.90%112M
Other assets 35.27%4.38B47.42%4.54B32.32%4.44B-18.29%210M-18.29%210M-29.01%3.24B-25.63%3.08B-21.03%3.35B-91.24%257M-91.24%257M
Total assets 20.34%105.72B10.93%100.46B9.38%97.41B11.16%93.85B11.16%93.85B2.86%87.85B7.18%90.56B-1.83%89.05B-9.82%84.43B-9.82%84.43B
Liabilities
Policy holders liabilities reserve 21.19%35.61B5.27%33.51B5.97%32.72B13.29%33.63B13.29%33.63B-0.50%29.38B9.99%31.84B-4.30%30.87B-19.93%29.69B-19.93%29.69B
Payables ------------32.63%1.58B32.63%1.58B--------------1.19B--1.19B
-Accounts payable ------------28.23%1.38B28.23%1.38B--------------1.08B--1.08B
-Total tax payable ------------73.91%200M73.91%200M--------------115M--115M
Derivative product liabilities -41.55%906M-2.04%815M-28.64%892M-35.49%1.12B-35.49%1.12B-4.20%1.55B-52.35%832M9.65%1.25B248.09%1.73B248.09%1.73B
Long term debt and capital lease obligation -0.20%1.5B-21.18%1.5B0.00%1.5B-9.58%1.87B-9.58%1.87B0.00%1.5B26.62%1.9B0.13%1.5B42.48%2.07B42.48%2.07B
-Long term debt -0.20%1.5B-21.18%1.5B0.00%1.5B-9.97%1.76B-9.97%1.76B0.00%1.5B26.62%1.9B0.13%1.5B34.90%1.96B34.90%1.96B
-Long term capital lease obligation -------------2.73%107M-2.73%107M--------------110M--110M
Unrepurchased pre-sale securities --------------10M--10M--------------0--0
Employee benefits ------------16.28%200M16.28%200M--------------172M--172M
Separate account liability 27.44%49.86B16.41%46.58B14.87%45.19B12.06%41.84B12.06%41.84B10.30%39.12B12.33%40.02B1.21%39.34B-5.67%37.33B-5.67%37.33B
Non current deferred liabilities -4.29%312M-9.67%299M-12.91%317M-11.88%319M-11.88%319M-4.68%326M-4.34%331M-10.34%364M-31.18%362M-31.18%362M
Other liabilities 13.89%10.22B21.20%10.38B11.44%9.63B31.24%6.25B31.24%6.25B-8.67%8.97B-7.65%8.57B-7.99%8.64B-34.72%4.76B-34.72%4.76B
Total liabilities 21.70%98.39B11.51%93.09B10.10%90.25B12.30%86.81B12.30%86.81B3.28%80.85B7.80%83.48B-1.91%81.97B-10.55%77.3B-10.55%77.3B
Shareholders'equity
Share capital 5.88%2.13B11.86%2.26B-3.83%1.96B-10.09%1.98B-10.09%1.98B-9.02%2.01B-8.96%2.02B-9.15%2.04B-1.39%2.2B-1.39%2.2B
-common stock -6.56%1.53B-6.67%1.54B-4.70%1.58B-4.30%1.6B-4.30%1.6B-2.91%1.63B-2.89%1.65B-3.21%1.66B-1.82%1.68B-1.82%1.68B
-Preferred stock 60.00%600M93.33%725M0.00%375M-28.57%375M-28.57%375M-28.57%375M-28.57%375M-28.57%375M0.00%525M0.00%525M
Additional paid-in capital -5.88%16M0.00%17M5.88%18M0.00%17M0.00%17M0.00%17M0.00%17M6.25%17M0.00%17M0.00%17M
Retained earnings 4.38%5.17B0.46%5.07B3.34%5.17B3.50%5.06B3.50%5.06B-6.45%4.96B-3.41%5.05B-2.19%5B-1.41%4.89B-1.41%4.89B
Gains losses not affecting retained earnings -52.17%11M2,700.00%26M-39.13%14M-180.95%-17M-180.95%-17M105.45%23M99.77%-1M108.30%23M--21M--21M
Total stockholders equity 4.60%7.33B4.09%7.37B1.14%7.16B-1.25%7.04B-1.25%7.04B-1.84%7B0.38%7.08B-0.90%7.08B-1.11%7.13B-1.11%7.13B
Total equity 4.60%7.33B4.09%7.37B1.14%7.16B-1.25%7.04B-1.25%7.04B-1.84%7B0.38%7.08B-0.90%7.08B-1.11%7.13B-1.11%7.13B
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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