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IAG iA Financial Corp Inc

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  • 133.830
  • +0.700+0.53%
15min DelayMarket Closed Nov 29 16:00 ET
12.57BMarket Cap13.55P/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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
57.27%541M
556.45%849M
-45.92%351M
118.92%1.34B
29.54%535M
34,300.00%344M
-201.64%-186M
3,956.25%649M
231.35%613M
36.30%413M
Net income from continuing operations
463.77%389M
8.57%266M
-13.84%305M
186.82%1B
45.41%333M
531.25%69M
43.27%245M
1,111.43%354M
-68.78%349M
-21.58%229M
Unrealized gains and losses of investment securities
-153.20%-1.61B
379.49%327M
205.70%1.13B
-119.94%-2.02B
-1,738.56%-3.87B
758.92%3.03B
-102.65%-117M
-120.82%-1.07B
615.16%10.14B
115.17%236M
Interest credited to policyholders’ deposits
-5.26%18M
21.43%17M
-5.56%17M
15.79%66M
-6.25%15M
26.67%19M
0.00%14M
50.00%18M
-25.97%57M
-15.79%16M
Other non cash items
281.13%2.47B
78.71%-385M
-177.31%-1.02B
123.16%2.3B
4,712.22%4.15B
-304.15%-1.36B
56.67%-1.81B
124.74%1.32B
-308.90%-9.93B
80.13%-90M
Tax refund paid
-1,000.00%-143M
-67.16%-112M
-307.69%-159M
-11.83%-293M
-314.29%-174M
82.67%-13M
-11.67%-67M
54.12%-39M
-21.86%-262M
-50.00%-42M
Cash from discontinued operating activities
Operating cash flow
57.27%541M
556.45%849M
-45.92%351M
118.92%1.34B
29.54%535M
34,300.00%344M
-201.64%-186M
3,956.25%649M
231.35%613M
36.30%413M
Investing cash flow
Cash flow from continuing investing activities
-23.94%-88M
-166.99%-275M
9.38%-58M
-6.97%-307M
12.66%-69M
-20.34%-71M
-39.19%-103M
14.67%-64M
2.38%-287M
31.90%-79M
Net PPE purchase and sale
-23.94%-88M
17.33%-62M
9.38%-58M
2.79%-279M
12.66%-69M
-20.34%-71M
-1.35%-75M
14.67%-64M
-15.73%-287M
-12.86%-79M
Net business purchase and sale
--0
----
----
---28M
--0
--0
----
----
--0
--0
Cash from discontinued investing activities
Investing cash flow
-23.94%-88M
-166.99%-275M
9.38%-58M
-6.97%-307M
12.66%-69M
-20.34%-71M
-39.19%-103M
14.67%-64M
2.38%-287M
31.90%-79M
Financing cash flow
Cash flow from continuing financing activities
43.33%-340M
-123.50%-51M
38.59%-218M
-92.19%-1.01B
-90.85%-271M
-244.83%-600M
236.48%217M
-610.00%-355M
-78.57%-525M
-65.12%-142M
Net issuance payments of debt
13.58%-350M
-14.07%336M
-25.00%-5M
-178.57%-22M
20.00%-4M
-10,025.00%-405M
6,616.67%391M
-109.30%-4M
227.27%28M
16.67%-5M
Net common stock issuance
356.52%236M
-240.48%-286M
-8.57%-114M
-1,018.37%-450M
-231.37%-169M
-152.57%-92M
-9.09%-84M
-5,350.00%-105M
145.00%49M
-750.00%-51M
Net preferred stock issuance
---125M
--0
--0
40.00%-150M
--0
--0
--0
---150M
---250M
--0
Cash dividends paid
-6.33%-84M
0.00%-89M
-12.33%-82M
-7.89%-328M
-3.57%-87M
-5.33%-79M
-23.61%-89M
0.00%-73M
-23.58%-304M
-15.07%-84M
Interest paid (cash flow from financing activities)
29.17%-17M
-1,100.00%-12M
26.09%-17M
-22.92%-59M
-450.00%-11M
-4.35%-24M
0.00%-1M
-4.55%-23M
-4.35%-48M
-100.00%-2M
Cash from discontinued financing activities
Financing cash flow
43.33%-340M
-123.50%-51M
38.59%-218M
-92.19%-1.01B
-90.85%-271M
-244.83%-600M
236.48%217M
-610.00%-355M
-78.57%-525M
-65.12%-142M
Net cash flow
Beginning cash position
31.61%1.99B
-7.99%1.46B
1.55%1.38B
-12.16%1.36B
1.97%1.19B
8.78%1.51B
10.73%1.59B
-12.16%1.36B
-20.68%1.55B
-19.24%1.17B
Current changes in cash
134.56%113M
826.39%523M
-67.39%75M
113.07%26M
1.56%195M
-40.95%-327M
-44.00%-72M
311.01%230M
50.62%-199M
90.10%192M
Effect of exchange rate changes
-220.00%-6M
200.00%5M
700.00%8M
-145.45%-5M
-500.00%-6M
-44.44%5M
-200.00%-5M
150.00%1M
--11M
---1M
End cash Position
76.22%2.1B
31.61%1.99B
-7.99%1.46B
1.55%1.38B
1.55%1.38B
1.97%1.19B
8.78%1.51B
10.73%1.59B
-12.16%1.36B
-12.16%1.36B
Free cash flow
65.93%453M
401.53%787M
-49.91%293M
226.07%1.06B
39.52%466M
570.69%273M
-339.45%-261M
1,091.53%585M
617.46%326M
43.35%334M
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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 57.27%541M556.45%849M-45.92%351M118.92%1.34B29.54%535M34,300.00%344M-201.64%-186M3,956.25%649M231.35%613M36.30%413M
Net income from continuing operations 463.77%389M8.57%266M-13.84%305M186.82%1B45.41%333M531.25%69M43.27%245M1,111.43%354M-68.78%349M-21.58%229M
Unrealized gains and losses of investment securities -153.20%-1.61B379.49%327M205.70%1.13B-119.94%-2.02B-1,738.56%-3.87B758.92%3.03B-102.65%-117M-120.82%-1.07B615.16%10.14B115.17%236M
Interest credited to policyholders’ deposits -5.26%18M21.43%17M-5.56%17M15.79%66M-6.25%15M26.67%19M0.00%14M50.00%18M-25.97%57M-15.79%16M
Other non cash items 281.13%2.47B78.71%-385M-177.31%-1.02B123.16%2.3B4,712.22%4.15B-304.15%-1.36B56.67%-1.81B124.74%1.32B-308.90%-9.93B80.13%-90M
Tax refund paid -1,000.00%-143M-67.16%-112M-307.69%-159M-11.83%-293M-314.29%-174M82.67%-13M-11.67%-67M54.12%-39M-21.86%-262M-50.00%-42M
Cash from discontinued operating activities
Operating cash flow 57.27%541M556.45%849M-45.92%351M118.92%1.34B29.54%535M34,300.00%344M-201.64%-186M3,956.25%649M231.35%613M36.30%413M
Investing cash flow
Cash flow from continuing investing activities -23.94%-88M-166.99%-275M9.38%-58M-6.97%-307M12.66%-69M-20.34%-71M-39.19%-103M14.67%-64M2.38%-287M31.90%-79M
Net PPE purchase and sale -23.94%-88M17.33%-62M9.38%-58M2.79%-279M12.66%-69M-20.34%-71M-1.35%-75M14.67%-64M-15.73%-287M-12.86%-79M
Net business purchase and sale --0-----------28M--0--0----------0--0
Cash from discontinued investing activities
Investing cash flow -23.94%-88M-166.99%-275M9.38%-58M-6.97%-307M12.66%-69M-20.34%-71M-39.19%-103M14.67%-64M2.38%-287M31.90%-79M
Financing cash flow
Cash flow from continuing financing activities 43.33%-340M-123.50%-51M38.59%-218M-92.19%-1.01B-90.85%-271M-244.83%-600M236.48%217M-610.00%-355M-78.57%-525M-65.12%-142M
Net issuance payments of debt 13.58%-350M-14.07%336M-25.00%-5M-178.57%-22M20.00%-4M-10,025.00%-405M6,616.67%391M-109.30%-4M227.27%28M16.67%-5M
Net common stock issuance 356.52%236M-240.48%-286M-8.57%-114M-1,018.37%-450M-231.37%-169M-152.57%-92M-9.09%-84M-5,350.00%-105M145.00%49M-750.00%-51M
Net preferred stock issuance ---125M--0--040.00%-150M--0--0--0---150M---250M--0
Cash dividends paid -6.33%-84M0.00%-89M-12.33%-82M-7.89%-328M-3.57%-87M-5.33%-79M-23.61%-89M0.00%-73M-23.58%-304M-15.07%-84M
Interest paid (cash flow from financing activities) 29.17%-17M-1,100.00%-12M26.09%-17M-22.92%-59M-450.00%-11M-4.35%-24M0.00%-1M-4.55%-23M-4.35%-48M-100.00%-2M
Cash from discontinued financing activities
Financing cash flow 43.33%-340M-123.50%-51M38.59%-218M-92.19%-1.01B-90.85%-271M-244.83%-600M236.48%217M-610.00%-355M-78.57%-525M-65.12%-142M
Net cash flow
Beginning cash position 31.61%1.99B-7.99%1.46B1.55%1.38B-12.16%1.36B1.97%1.19B8.78%1.51B10.73%1.59B-12.16%1.36B-20.68%1.55B-19.24%1.17B
Current changes in cash 134.56%113M826.39%523M-67.39%75M113.07%26M1.56%195M-40.95%-327M-44.00%-72M311.01%230M50.62%-199M90.10%192M
Effect of exchange rate changes -220.00%-6M200.00%5M700.00%8M-145.45%-5M-500.00%-6M-44.44%5M-200.00%-5M150.00%1M--11M---1M
End cash Position 76.22%2.1B31.61%1.99B-7.99%1.46B1.55%1.38B1.55%1.38B1.97%1.19B8.78%1.51B10.73%1.59B-12.16%1.36B-12.16%1.36B
Free cash flow 65.93%453M401.53%787M-49.91%293M226.07%1.06B39.52%466M570.69%273M-339.45%-261M1,091.53%585M617.46%326M43.35%334M
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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