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FRFHF FAIRFAX FINANCIAL HLDGS LTD

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  • 1463.918
  • +56.148+3.99%
15min DelayClose Feb 14 16:00 ET
31.72BMarket Cap9.12P/E (TTM)

FAIRFAX FINANCIAL HLDGS LTD 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
-4.86%55.68B
-4.86%55.68B
8.04%59.64B
10.93%59.37B
12.45%58.31B
22.02%58.53B
22.02%58.53B
26.19%55.2B
19.30%53.52B
33.60%51.85B
-Fixed maturity investments
0.42%37.39B
0.42%37.39B
14.79%39.61B
10.68%36.89B
12.59%36.51B
28.62%37.23B
28.62%37.23B
24.01%34.51B
27.95%33.33B
44.34%32.42B
-Equity investments
-2.52%9.83B
-2.52%9.83B
8.71%10.12B
9.11%9.85B
13.62%9.62B
29.50%10.08B
29.50%10.08B
22.01%9.31B
11.22%9.03B
-4.26%8.47B
-Derivative assets
35.09%1.31B
35.09%1.31B
-41.55%962.1M
13.48%1.77B
36.62%1.69B
114.86%970.1M
114.86%970.1M
44.75%1.65B
23.65%1.56B
-2.61%1.24B
-Investments in other ventures under equity method
-11.00%7.15B
-11.00%7.15B
13.29%8.88B
11.16%8.59B
11.21%8.26B
8.09%8.04B
8.09%8.04B
11.21%7.84B
16.57%7.73B
19.12%7.43B
-Short term investments
----
----
-96.71%62.4M
21.14%2.27B
-2.98%2.23B
-34.12%2.2B
-34.12%2.2B
1,829.63%1.89B
-33.16%1.87B
--2.3B
Cash and cash equivalents
87.45%10.8B
87.45%10.8B
75.41%8.77B
34.03%6.8B
24.69%6.92B
-16.99%5.76B
-16.99%5.76B
-41.35%5B
-30.02%5.07B
-62.51%5.55B
Restricted cash and cash equivalents
1.45%1.24B
1.45%1.24B
856.16%1.34B
44.26%212.5M
14.94%240.1M
31.07%1.22B
31.07%1.22B
88.09%140.5M
19.27%147.3M
--208.9M
Reinsurance recoverable
-1.88%10.68B
-1.88%10.68B
16.24%11.29B
11.32%10.87B
9.27%10.81B
12.34%10.89B
12.34%10.89B
--9.71B
--9.76B
--9.89B
Receivables
-69.49%780.4M
-69.49%780.4M
-8.87%786M
1.47%813.3M
32.11%811M
20.70%2.56B
20.70%2.56B
-95.95%862.5M
-96.25%801.5M
-96.96%613.9M
-Accounts receivable
-15.73%780.4M
-15.73%780.4M
-8.87%786M
1.47%813.3M
32.11%811M
42.72%926.1M
42.72%926.1M
-95.95%862.5M
-96.25%801.5M
-96.96%613.9M
-Accrued interest receivable
----
----
----
----
----
54.73%490.8M
54.73%490.8M
----
----
----
-Taxes receivable
----
----
----
----
----
0.00%275.9M
0.00%275.9M
----
----
----
-Other receivables
----
----
----
----
----
-1.39%864.7M
-1.39%864.7M
----
----
----
Prepaid assets
----
----
----
----
----
21.03%501.9M
21.03%501.9M
----
----
----
Net PPE
----
----
----
----
----
12.90%3.26B
12.90%3.26B
----
----
----
Goodwill and other intangible assets
29.83%8.28B
29.83%8.28B
13.73%6.24B
11.37%6.28B
10.73%6.35B
12.08%6.38B
12.08%6.38B
-4.67%5.49B
-3.10%5.64B
-4.43%5.74B
-Goodwill
----
----
----
----
----
6.64%3.12B
6.64%3.12B
----
----
----
-Other intangible assets
----
----
----
----
----
17.85%3.25B
17.85%3.25B
----
----
----
Defined pension benefit
----
----
----
----
----
-33.36%96.3M
-33.36%96.3M
----
----
----
Separate account assets
----
----
----
----
----
77.97%1.2B
77.97%1.2B
----
----
----
Other assets
594.43%8.99B
594.43%8.99B
6.12%8.27B
22.74%8.87B
13.84%8.18B
5.70%1.29B
5.70%1.29B
15.29%7.8B
14.42%7.22B
15.50%7.18B
Total assets
5.21%96.78B
5.21%96.78B
14.56%96.62B
13.58%93.48B
13.23%91.91B
16.70%91.99B
16.70%91.99B
-5.13%84.34B
-6.96%82.31B
-8.37%81.17B
Liabilities
Policy holders liabilities reserve
3.10%47.6B
3.10%47.6B
17.79%49.25B
12.07%46.33B
12.84%45.92B
15.70%46.17B
15.70%46.17B
-17.75%41.82B
-17.43%41.34B
-17.14%40.69B
Payables
169.83%7B
169.83%7B
-11.51%6.01B
9.02%6.64B
-0.04%6.36B
-2.71%2.59B
-2.71%2.59B
-32.85%6.8B
-39.79%6.09B
-34.51%6.36B
-Accounts payable
222.33%7B
222.33%7B
-11.51%6.01B
9.02%6.64B
-0.04%6.36B
-2.03%2.17B
-2.03%2.17B
-32.85%6.8B
-39.79%6.09B
-34.51%6.36B
-Total tax payable
----
----
----
----
----
-6.09%422.6M
-6.09%422.6M
----
----
----
Current accrued expenses
----
----
----
----
----
26.89%2.16B
26.89%2.16B
----
----
----
Short term debt and capital lease obligation
----
----
----
----
----
-3.56%790.6M
-3.56%790.6M
----
----
----
-Current debt
----
----
----
----
----
-3.56%790.6M
-3.56%790.6M
----
----
----
Long term debt and capital lease obligation
17.44%11.75B
17.44%11.75B
24.08%10.71B
26.19%11.12B
18.73%10.35B
12.46%10.01B
12.46%10.01B
2.58%8.63B
14.46%8.81B
10.13%8.72B
-Long term debt
31.58%11.75B
31.58%11.75B
24.08%10.71B
26.19%11.12B
18.73%10.35B
14.45%8.93B
14.45%8.93B
2.58%8.63B
14.46%8.81B
10.13%8.72B
-Long term capital lease obligation
----
----
----
----
----
-1.72%1.08B
-1.72%1.08B
----
----
----
Non current deferred liabilities
0.18%1.71B
0.18%1.71B
29.23%1.5B
32.07%1.36B
18.37%1.27B
31.84%1.71B
31.84%1.71B
130.53%1.16B
107.93%1.03B
88.66%1.07B
Employee benefits
----
----
----
----
----
7.82%157.1M
7.82%157.1M
----
----
----
Derivative product liabilities
-48.65%356.9M
-48.65%356.9M
-3.47%322.9M
-22.22%323.1M
23.70%372.7M
90.67%695M
90.67%695M
5.02%334.5M
22.39%415.4M
51.48%301.3M
Total liabilities
6.45%68.43B
6.45%68.43B
15.43%67.8B
14.01%65.77B
12.47%64.27B
15.21%64.28B
15.21%64.28B
-16.32%58.74B
-16.04%57.69B
-15.35%57.14B
Shareholders'equity
Share capital
228.29%24.07B
228.29%24.07B
-3.77%7.08B
-3.49%7.12B
-1.51%7.27B
-1.22%7.33B
-1.22%7.33B
-1.30%7.36B
-1.45%7.38B
-1.79%7.38B
-common stock
282.92%22.96B
282.92%22.96B
-4.61%5.75B
-4.26%5.78B
-1.84%5.94B
-1.49%6B
-1.49%6B
-1.58%6.02B
-1.76%6.04B
-2.18%6.05B
-Preferred stock
-17.02%1.11B
-17.02%1.11B
0.00%1.34B
0.00%1.34B
0.00%1.34B
0.00%1.34B
0.00%1.34B
0.00%1.34B
0.00%1.34B
0.00%1.34B
Retained earnings
----
----
16.57%18.19B
18.89%17.35B
22.86%17.04B
30.29%16.88B
30.29%16.88B
80.54%15.61B
62.98%14.59B
41.19%13.87B
Gains losses not affecting retained earnings
----
----
15.17%-915.6M
-13.24%-1.14B
-13.30%-1.08B
2.11%-962.2M
2.11%-962.2M
1.45%-1.08B
-11.92%-1.01B
-22.28%-957.1M
Less: Treasury stock
----
----
16.68%1.04B
11.61%976M
4.07%904.3M
1.73%906.7M
1.73%906.7M
-0.70%889.8M
2.73%874.5M
3.82%868.9M
Other equity interest
----
----
22.30%737.7M
17.89%713M
4.27%597.6M
-0.49%612.7M
-0.49%612.7M
1.98%603.2M
7.04%604.8M
9.20%573.1M
Total stockholders'equity
4.87%24.07B
4.87%24.07B
11.38%24.06B
11.47%23.07B
14.61%22.92B
20.06%22.95B
20.06%22.95B
46.93%21.6B
35.66%20.69B
23.10%20B
Noncontrolling interests
-9.88%4.28B
-9.88%4.28B
18.90%4.76B
18.37%4.65B
17.21%4.72B
21.71%4.75B
21.71%4.75B
-0.06%4B
-12.68%3.93B
-16.73%4.03B
Total equity
2.34%28.35B
2.34%28.35B
12.56%28.81B
12.57%27.71B
15.04%27.64B
20.34%27.7B
20.34%27.7B
36.88%25.6B
24.66%24.62B
13.96%24.03B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 -4.86%55.68B-4.86%55.68B8.04%59.64B10.93%59.37B12.45%58.31B22.02%58.53B22.02%58.53B26.19%55.2B19.30%53.52B33.60%51.85B
-Fixed maturity investments 0.42%37.39B0.42%37.39B14.79%39.61B10.68%36.89B12.59%36.51B28.62%37.23B28.62%37.23B24.01%34.51B27.95%33.33B44.34%32.42B
-Equity investments -2.52%9.83B-2.52%9.83B8.71%10.12B9.11%9.85B13.62%9.62B29.50%10.08B29.50%10.08B22.01%9.31B11.22%9.03B-4.26%8.47B
-Derivative assets 35.09%1.31B35.09%1.31B-41.55%962.1M13.48%1.77B36.62%1.69B114.86%970.1M114.86%970.1M44.75%1.65B23.65%1.56B-2.61%1.24B
-Investments in other ventures under equity method -11.00%7.15B-11.00%7.15B13.29%8.88B11.16%8.59B11.21%8.26B8.09%8.04B8.09%8.04B11.21%7.84B16.57%7.73B19.12%7.43B
-Short term investments ---------96.71%62.4M21.14%2.27B-2.98%2.23B-34.12%2.2B-34.12%2.2B1,829.63%1.89B-33.16%1.87B--2.3B
Cash and cash equivalents 87.45%10.8B87.45%10.8B75.41%8.77B34.03%6.8B24.69%6.92B-16.99%5.76B-16.99%5.76B-41.35%5B-30.02%5.07B-62.51%5.55B
Restricted cash and cash equivalents 1.45%1.24B1.45%1.24B856.16%1.34B44.26%212.5M14.94%240.1M31.07%1.22B31.07%1.22B88.09%140.5M19.27%147.3M--208.9M
Reinsurance recoverable -1.88%10.68B-1.88%10.68B16.24%11.29B11.32%10.87B9.27%10.81B12.34%10.89B12.34%10.89B--9.71B--9.76B--9.89B
Receivables -69.49%780.4M-69.49%780.4M-8.87%786M1.47%813.3M32.11%811M20.70%2.56B20.70%2.56B-95.95%862.5M-96.25%801.5M-96.96%613.9M
-Accounts receivable -15.73%780.4M-15.73%780.4M-8.87%786M1.47%813.3M32.11%811M42.72%926.1M42.72%926.1M-95.95%862.5M-96.25%801.5M-96.96%613.9M
-Accrued interest receivable --------------------54.73%490.8M54.73%490.8M------------
-Taxes receivable --------------------0.00%275.9M0.00%275.9M------------
-Other receivables ---------------------1.39%864.7M-1.39%864.7M------------
Prepaid assets --------------------21.03%501.9M21.03%501.9M------------
Net PPE --------------------12.90%3.26B12.90%3.26B------------
Goodwill and other intangible assets 29.83%8.28B29.83%8.28B13.73%6.24B11.37%6.28B10.73%6.35B12.08%6.38B12.08%6.38B-4.67%5.49B-3.10%5.64B-4.43%5.74B
-Goodwill --------------------6.64%3.12B6.64%3.12B------------
-Other intangible assets --------------------17.85%3.25B17.85%3.25B------------
Defined pension benefit ---------------------33.36%96.3M-33.36%96.3M------------
Separate account assets --------------------77.97%1.2B77.97%1.2B------------
Other assets 594.43%8.99B594.43%8.99B6.12%8.27B22.74%8.87B13.84%8.18B5.70%1.29B5.70%1.29B15.29%7.8B14.42%7.22B15.50%7.18B
Total assets 5.21%96.78B5.21%96.78B14.56%96.62B13.58%93.48B13.23%91.91B16.70%91.99B16.70%91.99B-5.13%84.34B-6.96%82.31B-8.37%81.17B
Liabilities
Policy holders liabilities reserve 3.10%47.6B3.10%47.6B17.79%49.25B12.07%46.33B12.84%45.92B15.70%46.17B15.70%46.17B-17.75%41.82B-17.43%41.34B-17.14%40.69B
Payables 169.83%7B169.83%7B-11.51%6.01B9.02%6.64B-0.04%6.36B-2.71%2.59B-2.71%2.59B-32.85%6.8B-39.79%6.09B-34.51%6.36B
-Accounts payable 222.33%7B222.33%7B-11.51%6.01B9.02%6.64B-0.04%6.36B-2.03%2.17B-2.03%2.17B-32.85%6.8B-39.79%6.09B-34.51%6.36B
-Total tax payable ---------------------6.09%422.6M-6.09%422.6M------------
Current accrued expenses --------------------26.89%2.16B26.89%2.16B------------
Short term debt and capital lease obligation ---------------------3.56%790.6M-3.56%790.6M------------
-Current debt ---------------------3.56%790.6M-3.56%790.6M------------
Long term debt and capital lease obligation 17.44%11.75B17.44%11.75B24.08%10.71B26.19%11.12B18.73%10.35B12.46%10.01B12.46%10.01B2.58%8.63B14.46%8.81B10.13%8.72B
-Long term debt 31.58%11.75B31.58%11.75B24.08%10.71B26.19%11.12B18.73%10.35B14.45%8.93B14.45%8.93B2.58%8.63B14.46%8.81B10.13%8.72B
-Long term capital lease obligation ---------------------1.72%1.08B-1.72%1.08B------------
Non current deferred liabilities 0.18%1.71B0.18%1.71B29.23%1.5B32.07%1.36B18.37%1.27B31.84%1.71B31.84%1.71B130.53%1.16B107.93%1.03B88.66%1.07B
Employee benefits --------------------7.82%157.1M7.82%157.1M------------
Derivative product liabilities -48.65%356.9M-48.65%356.9M-3.47%322.9M-22.22%323.1M23.70%372.7M90.67%695M90.67%695M5.02%334.5M22.39%415.4M51.48%301.3M
Total liabilities 6.45%68.43B6.45%68.43B15.43%67.8B14.01%65.77B12.47%64.27B15.21%64.28B15.21%64.28B-16.32%58.74B-16.04%57.69B-15.35%57.14B
Shareholders'equity
Share capital 228.29%24.07B228.29%24.07B-3.77%7.08B-3.49%7.12B-1.51%7.27B-1.22%7.33B-1.22%7.33B-1.30%7.36B-1.45%7.38B-1.79%7.38B
-common stock 282.92%22.96B282.92%22.96B-4.61%5.75B-4.26%5.78B-1.84%5.94B-1.49%6B-1.49%6B-1.58%6.02B-1.76%6.04B-2.18%6.05B
-Preferred stock -17.02%1.11B-17.02%1.11B0.00%1.34B0.00%1.34B0.00%1.34B0.00%1.34B0.00%1.34B0.00%1.34B0.00%1.34B0.00%1.34B
Retained earnings --------16.57%18.19B18.89%17.35B22.86%17.04B30.29%16.88B30.29%16.88B80.54%15.61B62.98%14.59B41.19%13.87B
Gains losses not affecting retained earnings --------15.17%-915.6M-13.24%-1.14B-13.30%-1.08B2.11%-962.2M2.11%-962.2M1.45%-1.08B-11.92%-1.01B-22.28%-957.1M
Less: Treasury stock --------16.68%1.04B11.61%976M4.07%904.3M1.73%906.7M1.73%906.7M-0.70%889.8M2.73%874.5M3.82%868.9M
Other equity interest --------22.30%737.7M17.89%713M4.27%597.6M-0.49%612.7M-0.49%612.7M1.98%603.2M7.04%604.8M9.20%573.1M
Total stockholders'equity 4.87%24.07B4.87%24.07B11.38%24.06B11.47%23.07B14.61%22.92B20.06%22.95B20.06%22.95B46.93%21.6B35.66%20.69B23.10%20B
Noncontrolling interests -9.88%4.28B-9.88%4.28B18.90%4.76B18.37%4.65B17.21%4.72B21.71%4.75B21.71%4.75B-0.06%4B-12.68%3.93B-16.73%4.03B
Total equity 2.34%28.35B2.34%28.35B12.56%28.81B12.57%27.71B15.04%27.64B20.34%27.7B20.34%27.7B36.88%25.6B24.66%24.62B13.96%24.03B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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