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IFC Intact Financial Corp

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  • 288.210
  • +1.110+0.39%
15min DelayMarket Closed Feb 14 16:00 ET
51.40BMarket Cap23.32P/E (TTM)

Intact 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
9.33%40.89B
9.33%40.89B
8.01%39.81B
3.74%37.29B
3.62%37.56B
3.73%37.4B
3.73%37.4B
4.15%36.86B
4.22%35.95B
1.12%36.25B
-Fixed maturity investments
----
----
----
----
--27.63B
----
----
----
----
----
-Equity investments
14.25%20.21B
14.25%20.21B
-43.76%19.17B
-50.20%16.53B
-72.22%5.61B
267.47%17.69B
267.47%17.69B
200.59%34.08B
211.61%33.2B
203.00%20.18B
-Net loan
-16.84%785M
-16.84%785M
-16.85%829M
-16.31%867M
-6.50%921M
-5.69%944M
-5.69%944M
4.73%997M
11.28%1.04B
1.03%985M
-Derivative assets
----
----
--110M
--129M
----
----
----
----
----
----
-Security agree to be resell
----
----
--324M
----
----
----
----
----
----
----
Long term equity investment
-0.42%940M
-0.42%940M
-1.68%935M
10.78%925M
11.31%935M
11.72%944M
11.72%944M
15.27%951M
1.46%835M
7.97%840M
-Investments in other ventures under equity method
-0.42%940M
-0.42%940M
-1.68%935M
10.78%925M
11.31%935M
11.72%944M
11.72%944M
15.27%951M
1.46%835M
7.97%840M
-Short term investments
5.90%18B
5.90%18B
--17.54B
--17.96B
-87.79%1.63B
1,096.41%17B
1,096.41%17B
----
----
637.91%13.37B
-Other invested assets
15.77%947M
15.77%947M
9.60%902M
0.23%877M
-3.67%841M
-6.62%818M
-6.62%818M
-3.74%823M
-10.62%875M
-9.44%873M
Cash and cash equivalents
-2.22%1.15B
-2.22%1.15B
-27.63%1.11B
44.77%1.41B
31.58%1.3B
15.94%1.17B
15.94%1.17B
16.87%1.53B
-20.20%976M
-13.90%991M
Restricted cash and cash equivalents
-20.37%43M
-20.37%43M
431.48%287M
481.48%314M
-25.00%39M
-19.40%54M
-19.40%54M
-20.59%54M
-14.29%54M
-18.75%52M
Reinsurance recoverable
-8.22%4.79B
-8.22%4.79B
-0.36%5.24B
-5.32%4.8B
-5.82%4.93B
80.89%5.22B
80.89%5.22B
32.29%5.26B
28.24%5.07B
28.33%5.24B
Receivables
-0.82%605M
-0.82%605M
29.10%874M
30.44%947M
60.34%1.04B
-35.59%610M
-35.59%610M
-92.65%677M
-92.09%726M
-92.25%648M
-Taxes receivable
24.56%71M
24.56%71M
-26.28%101M
-55.98%81M
-33.11%99M
-77.56%57M
-77.56%57M
-63.07%137M
-55.23%184M
-27.80%148M
-Other receivables
-3.44%534M
-3.44%534M
43.15%773M
59.78%866M
88.00%940M
-20.20%553M
-20.20%553M
10.43%540M
12.45%542M
10.38%500M
Accrued investment income
20.39%248M
20.39%248M
11.02%262M
----
----
--206M
--206M
22.28%236M
37.58%216M
22.22%209M
Prepaid assets
24.10%242M
24.10%242M
22.71%254M
4.96%254M
-3.42%254M
-91.65%195M
-91.65%195M
-86.32%207M
-84.94%242M
-84.61%263M
Net PPE
2.63%820M
2.63%820M
8.19%832M
5.88%828M
1.25%813M
2.70%799M
2.70%799M
3.08%769M
5.11%782M
7.64%803M
Goodwill and other intangible assets
4.76%9.57B
4.76%9.57B
16.09%9.46B
17.77%9.44B
15.77%9.25B
13.44%9.13B
13.44%9.13B
1.24%8.15B
4.36%8.01B
5.58%7.99B
-Goodwill
10.33%4.51B
10.33%4.51B
26.77%4.41B
29.87%4.38B
26.26%4.23B
21.94%4.09B
21.94%4.09B
3.60%3.48B
5.34%3.38B
8.34%3.35B
-Other intangible assets
0.26%5.06B
0.26%5.06B
8.12%5.05B
8.97%5.06B
8.19%5.02B
7.38%5.05B
7.38%5.05B
-0.45%4.67B
3.66%4.64B
3.66%4.64B
Defined pension benefit
29.26%296M
29.26%296M
19.93%367M
-1.79%330M
-27.15%271M
-65.87%229M
-65.87%229M
-73.82%306M
-73.10%336M
-73.43%372M
Deferred tax assets
-8.26%744M
-8.26%744M
-15.10%652M
3.66%736M
21.31%814M
12.33%811M
12.33%811M
24.68%768M
30.04%710M
27.08%671M
Assets Of discontinued operations
----
----
----
----
----
----
----
--0
--0
--0
Other assets
-10.13%142M
-10.13%142M
-20.73%153M
1.68%182M
-19.42%166M
-29.78%158M
-29.78%158M
15.57%193M
45.53%179M
54.89%206M
Total assets
6.34%59.53B
6.34%59.53B
7.80%59.3B
6.16%56.54B
5.12%56.44B
4.16%55.98B
4.16%55.98B
-14.66%55.01B
-16.69%53.26B
-17.84%53.69B
Liabilities
Policy holders liabilities reserve
5.10%31.9B
5.10%31.9B
5.66%32.02B
2.72%30.07B
2.03%29.97B
4.20%30.35B
4.20%30.35B
-18.93%30.31B
-18.39%29.28B
-17.40%29.37B
Short term debt and capital lease obligation
-61.46%148M
-61.46%148M
-19.80%474M
-59.91%176M
91.43%201M
--384M
--384M
1,870.00%591M
143.89%439M
-65.12%105M
-Current debt
-61.46%148M
-61.46%148M
-19.80%474M
-59.91%176M
91.43%201M
--384M
--384M
1,870.00%591M
143.89%439M
-65.12%105M
Payables
3.63%1.83B
3.63%1.83B
7.66%1.46B
-28.73%1.19B
83.36%2.07B
14.57%1.76B
14.57%1.76B
-63.64%1.36B
-60.77%1.67B
-75.22%1.13B
-Accounts payable
1.59%768M
1.59%768M
-30.13%726M
6.67%816M
95.04%1.34B
3.85%756M
3.85%756M
-54.90%1.04B
-67.21%765M
-74.84%685M
-Total tax payable
-30.73%142M
-30.73%142M
137.21%102M
330.43%99M
26.92%33M
632.14%205M
632.14%205M
-90.16%43M
-93.77%23M
-92.97%26M
-Other payable
14.38%915M
14.38%915M
129.71%634M
-68.74%276M
67.78%703M
2.43%800M
2.43%800M
-72.23%276M
-43.29%883M
-71.46%419M
Current accrued expenses
----
----
11.61%519M
48.03%527M
-72.67%132M
----
----
10.98%465M
34.85%356M
27.78%483M
Derivative product liabilities
175.82%251M
175.82%251M
15.79%154M
421.88%167M
38.24%94M
-38.10%91M
-38.10%91M
-54.92%133M
-73.33%32M
-46.88%68M
Long term debt and capital lease obligation
-0.56%5.33B
-0.56%5.33B
6.64%5.3B
7.59%5.32B
1.01%5.38B
4.14%5.36B
4.14%5.36B
-7.33%4.97B
3.56%4.94B
-6.35%5.33B
-Long term debt
-0.34%4.68B
-0.34%4.68B
7.03%4.64B
7.97%4.65B
0.64%4.71B
3.87%4.7B
3.87%4.7B
-9.02%4.34B
3.29%4.3B
-7.60%4.68B
-Long term capital lease obligation
-2.12%646M
-2.12%646M
3.93%661M
5.02%670M
3.74%665M
6.11%660M
6.11%660M
6.18%636M
5.45%638M
3.89%641M
Long term provisions
13.98%106M
13.98%106M
-5.95%79M
-4.65%82M
-5.26%90M
9.41%93M
9.41%93M
0.00%84M
-14.00%86M
-5.94%95M
Unrepurchased pre-sale securities
6,722.22%614M
6,722.22%614M
2,411.11%226M
----
0.00%9M
0.00%9M
0.00%9M
12.50%9M
12.50%9M
-87.67%9M
Employee benefits
-2.24%306M
-2.24%306M
9.29%294M
-8.05%274M
-3.48%277M
19.92%313M
19.92%313M
-6.92%269M
4.93%298M
-7.72%287M
Non current deferred liabilities
-18.32%593M
-18.32%593M
-24.59%558M
-10.85%674M
0.79%769M
-9.81%726M
-9.81%726M
5.11%740M
8.31%756M
11.88%763M
Other liabilities
-26.14%308M
-26.14%308M
6.72%429M
285.71%459M
-19.32%426M
-15.76%417M
-15.76%417M
-41.40%402M
-72.58%119M
20.55%528M
Total liabilities
4.74%41.38B
4.74%41.38B
5.57%41.52B
2.51%38.94B
3.28%39.42B
5.03%39.5B
5.03%39.5B
-19.77%39.33B
-20.60%37.98B
-22.10%38.17B
Shareholders'equity
Share capital
0.28%9.75B
0.28%9.75B
0.28%9.75B
6.37%9.75B
6.29%9.74B
9.63%9.72B
9.63%9.72B
9.65%9.72B
3.23%9.16B
3.00%9.16B
-common stock
0.33%8.13B
0.33%8.13B
0.33%8.13B
7.74%8.13B
7.64%8.12B
7.39%8.1B
7.39%8.1B
7.40%8.1B
-0.13%7.54B
-0.40%7.54B
-Preferred stock
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
0.00%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
Additional paid-in capital
2.76%298M
2.76%298M
3.44%271M
-1.61%244M
--271M
7.81%290M
7.81%290M
10.55%262M
22.17%248M
----
Retained earnings
21.82%7.92B
21.82%7.92B
23.26%7.62B
21.02%7.56B
11.37%7.02B
-16.64%6.5B
-16.64%6.5B
-19.53%6.18B
-17.78%6.25B
-6.62%6.31B
Gains losses not affecting retained earnings
157.01%183M
157.01%183M
119.30%148M
64.48%-238M
-28.63%-292M
70.58%-321M
70.58%-321M
52.92%-767M
42.44%-670M
-228.99%-227M
Total stockholders equity
12.09%18.15B
12.09%18.15B
15.51%17.78B
15.52%17.32B
9.84%16.74B
2.19%16.19B
2.19%16.19B
1.60%15.39B
-3.39%14.99B
-3.46%15.24B
Noncontrolling interests
--0
--0
--0
0.00%285M
0.00%285M
0.00%285M
0.00%285M
0.00%285M
-50.17%285M
-50.17%285M
Total equity
10.15%18.15B
10.15%18.15B
13.41%17.78B
15.23%17.6B
9.65%17.03B
2.15%16.48B
2.15%16.48B
1.57%15.68B
-5.05%15.27B
-5.09%15.53B
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 9.33%40.89B9.33%40.89B8.01%39.81B3.74%37.29B3.62%37.56B3.73%37.4B3.73%37.4B4.15%36.86B4.22%35.95B1.12%36.25B
-Fixed maturity investments ------------------27.63B--------------------
-Equity investments 14.25%20.21B14.25%20.21B-43.76%19.17B-50.20%16.53B-72.22%5.61B267.47%17.69B267.47%17.69B200.59%34.08B211.61%33.2B203.00%20.18B
-Net loan -16.84%785M-16.84%785M-16.85%829M-16.31%867M-6.50%921M-5.69%944M-5.69%944M4.73%997M11.28%1.04B1.03%985M
-Derivative assets ----------110M--129M------------------------
-Security agree to be resell ----------324M----------------------------
Long term equity investment -0.42%940M-0.42%940M-1.68%935M10.78%925M11.31%935M11.72%944M11.72%944M15.27%951M1.46%835M7.97%840M
-Investments in other ventures under equity method -0.42%940M-0.42%940M-1.68%935M10.78%925M11.31%935M11.72%944M11.72%944M15.27%951M1.46%835M7.97%840M
-Short term investments 5.90%18B5.90%18B--17.54B--17.96B-87.79%1.63B1,096.41%17B1,096.41%17B--------637.91%13.37B
-Other invested assets 15.77%947M15.77%947M9.60%902M0.23%877M-3.67%841M-6.62%818M-6.62%818M-3.74%823M-10.62%875M-9.44%873M
Cash and cash equivalents -2.22%1.15B-2.22%1.15B-27.63%1.11B44.77%1.41B31.58%1.3B15.94%1.17B15.94%1.17B16.87%1.53B-20.20%976M-13.90%991M
Restricted cash and cash equivalents -20.37%43M-20.37%43M431.48%287M481.48%314M-25.00%39M-19.40%54M-19.40%54M-20.59%54M-14.29%54M-18.75%52M
Reinsurance recoverable -8.22%4.79B-8.22%4.79B-0.36%5.24B-5.32%4.8B-5.82%4.93B80.89%5.22B80.89%5.22B32.29%5.26B28.24%5.07B28.33%5.24B
Receivables -0.82%605M-0.82%605M29.10%874M30.44%947M60.34%1.04B-35.59%610M-35.59%610M-92.65%677M-92.09%726M-92.25%648M
-Taxes receivable 24.56%71M24.56%71M-26.28%101M-55.98%81M-33.11%99M-77.56%57M-77.56%57M-63.07%137M-55.23%184M-27.80%148M
-Other receivables -3.44%534M-3.44%534M43.15%773M59.78%866M88.00%940M-20.20%553M-20.20%553M10.43%540M12.45%542M10.38%500M
Accrued investment income 20.39%248M20.39%248M11.02%262M----------206M--206M22.28%236M37.58%216M22.22%209M
Prepaid assets 24.10%242M24.10%242M22.71%254M4.96%254M-3.42%254M-91.65%195M-91.65%195M-86.32%207M-84.94%242M-84.61%263M
Net PPE 2.63%820M2.63%820M8.19%832M5.88%828M1.25%813M2.70%799M2.70%799M3.08%769M5.11%782M7.64%803M
Goodwill and other intangible assets 4.76%9.57B4.76%9.57B16.09%9.46B17.77%9.44B15.77%9.25B13.44%9.13B13.44%9.13B1.24%8.15B4.36%8.01B5.58%7.99B
-Goodwill 10.33%4.51B10.33%4.51B26.77%4.41B29.87%4.38B26.26%4.23B21.94%4.09B21.94%4.09B3.60%3.48B5.34%3.38B8.34%3.35B
-Other intangible assets 0.26%5.06B0.26%5.06B8.12%5.05B8.97%5.06B8.19%5.02B7.38%5.05B7.38%5.05B-0.45%4.67B3.66%4.64B3.66%4.64B
Defined pension benefit 29.26%296M29.26%296M19.93%367M-1.79%330M-27.15%271M-65.87%229M-65.87%229M-73.82%306M-73.10%336M-73.43%372M
Deferred tax assets -8.26%744M-8.26%744M-15.10%652M3.66%736M21.31%814M12.33%811M12.33%811M24.68%768M30.04%710M27.08%671M
Assets Of discontinued operations ------------------------------0--0--0
Other assets -10.13%142M-10.13%142M-20.73%153M1.68%182M-19.42%166M-29.78%158M-29.78%158M15.57%193M45.53%179M54.89%206M
Total assets 6.34%59.53B6.34%59.53B7.80%59.3B6.16%56.54B5.12%56.44B4.16%55.98B4.16%55.98B-14.66%55.01B-16.69%53.26B-17.84%53.69B
Liabilities
Policy holders liabilities reserve 5.10%31.9B5.10%31.9B5.66%32.02B2.72%30.07B2.03%29.97B4.20%30.35B4.20%30.35B-18.93%30.31B-18.39%29.28B-17.40%29.37B
Short term debt and capital lease obligation -61.46%148M-61.46%148M-19.80%474M-59.91%176M91.43%201M--384M--384M1,870.00%591M143.89%439M-65.12%105M
-Current debt -61.46%148M-61.46%148M-19.80%474M-59.91%176M91.43%201M--384M--384M1,870.00%591M143.89%439M-65.12%105M
Payables 3.63%1.83B3.63%1.83B7.66%1.46B-28.73%1.19B83.36%2.07B14.57%1.76B14.57%1.76B-63.64%1.36B-60.77%1.67B-75.22%1.13B
-Accounts payable 1.59%768M1.59%768M-30.13%726M6.67%816M95.04%1.34B3.85%756M3.85%756M-54.90%1.04B-67.21%765M-74.84%685M
-Total tax payable -30.73%142M-30.73%142M137.21%102M330.43%99M26.92%33M632.14%205M632.14%205M-90.16%43M-93.77%23M-92.97%26M
-Other payable 14.38%915M14.38%915M129.71%634M-68.74%276M67.78%703M2.43%800M2.43%800M-72.23%276M-43.29%883M-71.46%419M
Current accrued expenses --------11.61%519M48.03%527M-72.67%132M--------10.98%465M34.85%356M27.78%483M
Derivative product liabilities 175.82%251M175.82%251M15.79%154M421.88%167M38.24%94M-38.10%91M-38.10%91M-54.92%133M-73.33%32M-46.88%68M
Long term debt and capital lease obligation -0.56%5.33B-0.56%5.33B6.64%5.3B7.59%5.32B1.01%5.38B4.14%5.36B4.14%5.36B-7.33%4.97B3.56%4.94B-6.35%5.33B
-Long term debt -0.34%4.68B-0.34%4.68B7.03%4.64B7.97%4.65B0.64%4.71B3.87%4.7B3.87%4.7B-9.02%4.34B3.29%4.3B-7.60%4.68B
-Long term capital lease obligation -2.12%646M-2.12%646M3.93%661M5.02%670M3.74%665M6.11%660M6.11%660M6.18%636M5.45%638M3.89%641M
Long term provisions 13.98%106M13.98%106M-5.95%79M-4.65%82M-5.26%90M9.41%93M9.41%93M0.00%84M-14.00%86M-5.94%95M
Unrepurchased pre-sale securities 6,722.22%614M6,722.22%614M2,411.11%226M----0.00%9M0.00%9M0.00%9M12.50%9M12.50%9M-87.67%9M
Employee benefits -2.24%306M-2.24%306M9.29%294M-8.05%274M-3.48%277M19.92%313M19.92%313M-6.92%269M4.93%298M-7.72%287M
Non current deferred liabilities -18.32%593M-18.32%593M-24.59%558M-10.85%674M0.79%769M-9.81%726M-9.81%726M5.11%740M8.31%756M11.88%763M
Other liabilities -26.14%308M-26.14%308M6.72%429M285.71%459M-19.32%426M-15.76%417M-15.76%417M-41.40%402M-72.58%119M20.55%528M
Total liabilities 4.74%41.38B4.74%41.38B5.57%41.52B2.51%38.94B3.28%39.42B5.03%39.5B5.03%39.5B-19.77%39.33B-20.60%37.98B-22.10%38.17B
Shareholders'equity
Share capital 0.28%9.75B0.28%9.75B0.28%9.75B6.37%9.75B6.29%9.74B9.63%9.72B9.63%9.72B9.65%9.72B3.23%9.16B3.00%9.16B
-common stock 0.33%8.13B0.33%8.13B0.33%8.13B7.74%8.13B7.64%8.12B7.39%8.1B7.39%8.1B7.40%8.1B-0.13%7.54B-0.40%7.54B
-Preferred stock 0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B0.00%1.62B22.47%1.62B22.47%1.62B22.47%1.62B22.47%1.62B22.47%1.62B
Additional paid-in capital 2.76%298M2.76%298M3.44%271M-1.61%244M--271M7.81%290M7.81%290M10.55%262M22.17%248M----
Retained earnings 21.82%7.92B21.82%7.92B23.26%7.62B21.02%7.56B11.37%7.02B-16.64%6.5B-16.64%6.5B-19.53%6.18B-17.78%6.25B-6.62%6.31B
Gains losses not affecting retained earnings 157.01%183M157.01%183M119.30%148M64.48%-238M-28.63%-292M70.58%-321M70.58%-321M52.92%-767M42.44%-670M-228.99%-227M
Total stockholders equity 12.09%18.15B12.09%18.15B15.51%17.78B15.52%17.32B9.84%16.74B2.19%16.19B2.19%16.19B1.60%15.39B-3.39%14.99B-3.46%15.24B
Noncontrolling interests --0--0--00.00%285M0.00%285M0.00%285M0.00%285M0.00%285M-50.17%285M-50.17%285M
Total equity 10.15%18.15B10.15%18.15B13.41%17.78B15.23%17.6B9.65%17.03B2.15%16.48B2.15%16.48B1.57%15.68B-5.05%15.27B-5.09%15.53B
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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