US Stock MarketDetailed Quotes

IFCZF INTACT FINANCIAL CORPORATION

Watchlist
  • 164.480
  • -4.070-2.41%
15min DelayClose May 14 16:00 ET
  • 165.481
  • +1.001+0.61%
Post 16:57 ET
29.33BMarket Cap26.11P/E (TTM)

INTACT FINANCIAL CORPORATION Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Total investments
3.62%37.56B
3.73%37.4B
3.73%37.4B
4.15%36.86B
4.22%35.95B
1.12%36.25B
2.53%36.05B
2.53%36.05B
1.29%35.39B
1.36%34.49B
-Fixed maturity investments
--27.63B
4.95%28.44B
4.95%28.44B
----
----
----
7.07%27.1B
7.07%27.1B
----
----
-Equity investments
-72.22%5.61B
1.18%4.87B
1.18%4.87B
200.59%34.08B
211.61%33.2B
203.00%20.18B
-15.34%4.81B
-15.34%4.81B
13.89%11.34B
7.67%10.66B
-Net loan
-6.50%921M
-5.69%944M
-5.69%944M
4.73%997M
11.28%1.04B
1.03%985M
7.63%1B
7.63%1B
-3.45%952M
14.37%931M
-Investments in other ventures under equity method
11.31%935M
11.72%944M
11.72%944M
15.27%951M
1.46%835M
7.97%840M
11.18%845M
11.18%845M
9.85%825M
5.92%823M
-Short term investments
-87.79%1.63B
-2.60%1.38B
-2.60%1.38B
----
----
637.91%13.37B
-23.06%1.42B
-23.06%1.42B
-4.90%21.41B
-5.75%21.11B
-Other invested assets
-3.67%841M
-6.62%818M
-6.62%818M
-3.74%823M
-10.62%875M
-9.44%873M
38.17%876M
38.17%876M
18.09%855M
557.05%979M
Cash and cash equivalents
31.58%1.3B
15.94%1.17B
15.94%1.17B
16.87%1.53B
-20.20%976M
-13.90%991M
-55.62%1.01B
-55.62%1.01B
-56.54%1.31B
-63.84%1.22B
Restricted cash and cash equivalents
-25.00%39M
-19.40%54M
-19.40%54M
-20.59%54M
-14.29%54M
-18.75%52M
--67M
--67M
-6.85%68M
-13.70%63M
Reinsurance recoverable
-5.82%4.93B
18.90%3.43B
18.90%3.43B
32.29%5.26B
28.24%5.07B
28.33%5.24B
-42.03%2.88B
-42.03%2.88B
-8.00%3.98B
-8.41%3.96B
Receivables
60.34%1.04B
-13.83%816M
-13.83%816M
-92.65%677M
-92.09%726M
-92.25%648M
385.64%947M
385.64%947M
2.97%9.21B
4.05%9.17B
-Accounts receivable
----
----
----
----
----
----
----
----
0.26%8.35B
0.28%8.28B
-Taxes receivable
-33.11%99M
-77.56%57M
-77.56%57M
-63.07%137M
-55.23%184M
-27.80%148M
30.26%254M
30.26%254M
234.23%371M
426.92%411M
-Other receivables
88.00%940M
9.52%759M
9.52%759M
10.43%540M
12.45%542M
10.38%500M
--693M
--693M
-3.17%489M
0.21%482M
Accrued investment income
----
----
----
22.28%236M
37.58%216M
22.22%209M
----
----
-12.67%193M
-20.30%157M
Prepaid assets
-3.42%254M
-15.07%1.98B
-15.07%1.98B
-86.32%207M
-84.94%242M
-84.61%263M
--2.34B
--2.34B
-4.72%1.51B
-7.43%1.61B
Deferred policy acquisition costs
----
----
----
----
----
----
----
----
-0.19%2.06B
-2.94%2.02B
Net PPE
1.25%813M
2.70%799M
2.70%799M
3.08%769M
5.11%782M
7.64%803M
0.52%778M
0.52%778M
-7.10%746M
-10.68%744M
Goodwill and other intangible assets
15.77%9.25B
13.44%9.13B
13.44%9.13B
1.24%8.15B
4.36%8.01B
5.58%7.99B
4.52%8.05B
4.52%8.05B
5.30%8.05B
2.14%7.68B
-Goodwill
26.26%4.23B
21.94%4.09B
21.94%4.09B
3.60%3.48B
5.34%3.38B
8.34%3.35B
9.26%3.35B
9.26%3.35B
11.55%3.36B
9.99%3.2B
-Other intangible assets
8.19%5.02B
7.38%5.05B
7.38%5.05B
-0.45%4.67B
3.66%4.64B
3.66%4.64B
1.38%4.7B
1.38%4.7B
1.23%4.69B
-2.82%4.48B
Defined pension benefit
-27.15%271M
-65.87%229M
-65.87%229M
-73.82%306M
-73.10%336M
-73.43%372M
--671M
--671M
20.89%1.17B
32.45%1.25B
Assets of discontinued operations
----
--0
--0
--0
--0
--0
--0
--0
--0
4.32%893M
Other assets
-19.42%166M
-29.78%158M
-29.78%158M
15.57%193M
45.53%179M
54.89%206M
-92.38%225M
-92.38%225M
33.60%167M
8.85%123M
Total assets
5.12%56.44B
4.16%55.98B
4.16%55.98B
-14.66%55.01B
-16.69%53.26B
-17.84%53.69B
-3.00%53.74B
-3.00%53.74B
-2.59%64.46B
-2.40%63.92B
Liabilities
Policy holders liabilities reserve
2.03%29.97B
4.20%30.35B
4.20%30.35B
-18.93%30.31B
-18.39%29.28B
-17.40%29.37B
0.64%29.13B
0.64%29.13B
1.01%37.39B
-2.61%35.87B
Payables
83.36%2.07B
14.57%1.76B
14.57%1.76B
-63.64%1.36B
-60.77%1.67B
-75.22%1.13B
1,100.78%1.54B
1,100.78%1.54B
-17.40%3.74B
-6.76%4.26B
-Accounts payable
95.04%1.34B
3.85%756M
3.85%756M
-54.90%1.04B
-67.21%765M
-74.84%685M
--728M
--728M
-2.87%2.3B
-18.37%2.33B
-Total tax payable
26.92%33M
632.14%205M
632.14%205M
-90.16%43M
-93.77%23M
-92.97%26M
-78.13%28M
-78.13%28M
-9.90%437M
0.00%369M
-Other payable
67.78%703M
2.43%800M
2.43%800M
-72.23%276M
-43.29%883M
-71.46%419M
--781M
--781M
-40.30%994M
16.11%1.56B
Current accrued expenses
-72.67%132M
----
----
10.98%465M
34.85%356M
27.78%483M
----
----
28.13%419M
-16.19%264M
Short term debt and capital lease obligation
91.43%201M
----
----
1,870.00%591M
143.89%439M
-65.12%105M
----
----
-93.64%30M
--180M
-Current debt
91.43%201M
----
----
1,870.00%591M
143.89%439M
-65.12%105M
----
----
-93.64%30M
--180M
Long term provisions
-5.26%90M
9.41%93M
9.41%93M
0.00%84M
-14.00%86M
-5.94%95M
--85M
--85M
-39.57%84M
-38.27%100M
Long term debt and capital lease obligation
1.01%5.38B
11.61%5.74B
11.61%5.74B
-7.33%4.97B
3.56%4.94B
-6.35%5.33B
-1.63%5.14B
-1.63%5.14B
-3.35%5.37B
-20.93%4.77B
-Long term debt
0.64%4.71B
12.36%5.08B
12.36%5.08B
-9.02%4.34B
3.29%4.3B
-7.60%4.68B
-13.52%4.52B
-13.52%4.52B
-1.77%4.77B
-21.44%4.17B
-Long term capital lease obligation
3.74%665M
6.11%660M
6.11%660M
6.18%636M
5.45%638M
3.89%641M
--622M
--622M
-14.31%599M
-17.24%605M
Non current deferred liabilities
0.79%769M
-9.81%726M
-9.81%726M
5.11%740M
8.31%756M
11.88%763M
4.41%805M
4.41%805M
-3.56%704M
-5.55%698M
Total deposits
----
----
----
----
----
----
----
----
-96.08%24M
2,810.34%844M
Unrepurchased pre-sale securities
0.00%9M
0.00%9M
0.00%9M
12.50%9M
12.50%9M
-87.67%9M
--9M
--9M
-11.11%8M
-96.95%8M
Employee benefits
-3.48%277M
19.92%313M
19.92%313M
-6.92%269M
4.93%298M
-7.72%287M
--261M
--261M
-19.50%289M
-22.40%284M
Derivative product liabilities
38.24%94M
-38.10%91M
-38.10%91M
-54.92%133M
-73.33%32M
-46.88%68M
--147M
--147M
67.61%295M
-37.50%120M
Other liabilities
-19.32%426M
-15.76%417M
-15.76%417M
-41.40%402M
-72.58%119M
20.55%528M
-84.18%495M
-84.18%495M
3,510.53%686M
2,070.00%434M
Total liabilities
3.28%39.42B
5.03%39.5B
5.03%39.5B
-19.77%39.33B
-20.60%37.98B
-22.10%38.17B
-1.54%37.61B
-1.54%37.61B
-1.81%49.02B
-3.41%47.84B
Shareholders'equity
Share capital
6.29%9.74B
9.63%9.72B
9.63%9.72B
9.65%9.72B
3.23%9.16B
3.00%9.16B
1.29%8.86B
1.29%8.86B
1.28%8.86B
1.41%8.87B
-common stock
7.64%8.12B
7.39%8.1B
7.39%8.1B
7.40%8.1B
-0.13%7.54B
-0.40%7.54B
-0.45%7.54B
-0.45%7.54B
-0.46%7.54B
-0.32%7.55B
-Preferred stock
0.00%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
22.47%1.62B
12.51%1.32B
12.51%1.32B
12.51%1.32B
12.51%1.32B
Paid-in capital
--271M
7.81%290M
7.81%290M
10.55%262M
22.17%248M
----
27.49%269M
27.49%269M
--237M
--203M
Retained earnings
11.37%7.02B
-16.64%6.5B
-16.64%6.5B
-19.53%6.18B
-17.78%6.25B
-6.62%6.31B
18.16%7.8B
18.16%7.8B
37.13%7.68B
39.64%7.6B
Gains losses not affecting retained earnings
-28.63%-292M
70.58%-321M
70.58%-321M
52.92%-767M
42.44%-670M
-228.99%-227M
-305.85%-1.09B
-305.85%-1.09B
-311.01%-1.63B
-277.44%-1.16B
Total stockholders'equity
9.84%16.74B
2.19%16.19B
2.19%16.19B
1.60%15.39B
-3.39%14.99B
-3.46%15.24B
-1.56%15.84B
-1.56%15.84B
0.18%15.15B
4.47%15.52B
Noncontrolling interests
0.00%285M
0.00%285M
0.00%285M
0.00%285M
-50.17%285M
-50.17%285M
-74.30%285M
-74.30%285M
-74.60%285M
-48.79%572M
Total equity
9.65%17.03B
2.15%16.48B
2.15%16.48B
1.57%15.68B
-5.05%15.27B
-5.09%15.53B
-6.25%16.13B
-6.25%16.13B
-4.99%15.44B
0.75%16.09B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Total investments 3.62%37.56B3.73%37.4B3.73%37.4B4.15%36.86B4.22%35.95B1.12%36.25B2.53%36.05B2.53%36.05B1.29%35.39B1.36%34.49B
-Fixed maturity investments --27.63B4.95%28.44B4.95%28.44B------------7.07%27.1B7.07%27.1B--------
-Equity investments -72.22%5.61B1.18%4.87B1.18%4.87B200.59%34.08B211.61%33.2B203.00%20.18B-15.34%4.81B-15.34%4.81B13.89%11.34B7.67%10.66B
-Net loan -6.50%921M-5.69%944M-5.69%944M4.73%997M11.28%1.04B1.03%985M7.63%1B7.63%1B-3.45%952M14.37%931M
-Investments in other ventures under equity method 11.31%935M11.72%944M11.72%944M15.27%951M1.46%835M7.97%840M11.18%845M11.18%845M9.85%825M5.92%823M
-Short term investments -87.79%1.63B-2.60%1.38B-2.60%1.38B--------637.91%13.37B-23.06%1.42B-23.06%1.42B-4.90%21.41B-5.75%21.11B
-Other invested assets -3.67%841M-6.62%818M-6.62%818M-3.74%823M-10.62%875M-9.44%873M38.17%876M38.17%876M18.09%855M557.05%979M
Cash and cash equivalents 31.58%1.3B15.94%1.17B15.94%1.17B16.87%1.53B-20.20%976M-13.90%991M-55.62%1.01B-55.62%1.01B-56.54%1.31B-63.84%1.22B
Restricted cash and cash equivalents -25.00%39M-19.40%54M-19.40%54M-20.59%54M-14.29%54M-18.75%52M--67M--67M-6.85%68M-13.70%63M
Reinsurance recoverable -5.82%4.93B18.90%3.43B18.90%3.43B32.29%5.26B28.24%5.07B28.33%5.24B-42.03%2.88B-42.03%2.88B-8.00%3.98B-8.41%3.96B
Receivables 60.34%1.04B-13.83%816M-13.83%816M-92.65%677M-92.09%726M-92.25%648M385.64%947M385.64%947M2.97%9.21B4.05%9.17B
-Accounts receivable --------------------------------0.26%8.35B0.28%8.28B
-Taxes receivable -33.11%99M-77.56%57M-77.56%57M-63.07%137M-55.23%184M-27.80%148M30.26%254M30.26%254M234.23%371M426.92%411M
-Other receivables 88.00%940M9.52%759M9.52%759M10.43%540M12.45%542M10.38%500M--693M--693M-3.17%489M0.21%482M
Accrued investment income ------------22.28%236M37.58%216M22.22%209M---------12.67%193M-20.30%157M
Prepaid assets -3.42%254M-15.07%1.98B-15.07%1.98B-86.32%207M-84.94%242M-84.61%263M--2.34B--2.34B-4.72%1.51B-7.43%1.61B
Deferred policy acquisition costs ---------------------------------0.19%2.06B-2.94%2.02B
Net PPE 1.25%813M2.70%799M2.70%799M3.08%769M5.11%782M7.64%803M0.52%778M0.52%778M-7.10%746M-10.68%744M
Goodwill and other intangible assets 15.77%9.25B13.44%9.13B13.44%9.13B1.24%8.15B4.36%8.01B5.58%7.99B4.52%8.05B4.52%8.05B5.30%8.05B2.14%7.68B
-Goodwill 26.26%4.23B21.94%4.09B21.94%4.09B3.60%3.48B5.34%3.38B8.34%3.35B9.26%3.35B9.26%3.35B11.55%3.36B9.99%3.2B
-Other intangible assets 8.19%5.02B7.38%5.05B7.38%5.05B-0.45%4.67B3.66%4.64B3.66%4.64B1.38%4.7B1.38%4.7B1.23%4.69B-2.82%4.48B
Defined pension benefit -27.15%271M-65.87%229M-65.87%229M-73.82%306M-73.10%336M-73.43%372M--671M--671M20.89%1.17B32.45%1.25B
Assets of discontinued operations ------0--0--0--0--0--0--0--04.32%893M
Other assets -19.42%166M-29.78%158M-29.78%158M15.57%193M45.53%179M54.89%206M-92.38%225M-92.38%225M33.60%167M8.85%123M
Total assets 5.12%56.44B4.16%55.98B4.16%55.98B-14.66%55.01B-16.69%53.26B-17.84%53.69B-3.00%53.74B-3.00%53.74B-2.59%64.46B-2.40%63.92B
Liabilities
Policy holders liabilities reserve 2.03%29.97B4.20%30.35B4.20%30.35B-18.93%30.31B-18.39%29.28B-17.40%29.37B0.64%29.13B0.64%29.13B1.01%37.39B-2.61%35.87B
Payables 83.36%2.07B14.57%1.76B14.57%1.76B-63.64%1.36B-60.77%1.67B-75.22%1.13B1,100.78%1.54B1,100.78%1.54B-17.40%3.74B-6.76%4.26B
-Accounts payable 95.04%1.34B3.85%756M3.85%756M-54.90%1.04B-67.21%765M-74.84%685M--728M--728M-2.87%2.3B-18.37%2.33B
-Total tax payable 26.92%33M632.14%205M632.14%205M-90.16%43M-93.77%23M-92.97%26M-78.13%28M-78.13%28M-9.90%437M0.00%369M
-Other payable 67.78%703M2.43%800M2.43%800M-72.23%276M-43.29%883M-71.46%419M--781M--781M-40.30%994M16.11%1.56B
Current accrued expenses -72.67%132M--------10.98%465M34.85%356M27.78%483M--------28.13%419M-16.19%264M
Short term debt and capital lease obligation 91.43%201M--------1,870.00%591M143.89%439M-65.12%105M---------93.64%30M--180M
-Current debt 91.43%201M--------1,870.00%591M143.89%439M-65.12%105M---------93.64%30M--180M
Long term provisions -5.26%90M9.41%93M9.41%93M0.00%84M-14.00%86M-5.94%95M--85M--85M-39.57%84M-38.27%100M
Long term debt and capital lease obligation 1.01%5.38B11.61%5.74B11.61%5.74B-7.33%4.97B3.56%4.94B-6.35%5.33B-1.63%5.14B-1.63%5.14B-3.35%5.37B-20.93%4.77B
-Long term debt 0.64%4.71B12.36%5.08B12.36%5.08B-9.02%4.34B3.29%4.3B-7.60%4.68B-13.52%4.52B-13.52%4.52B-1.77%4.77B-21.44%4.17B
-Long term capital lease obligation 3.74%665M6.11%660M6.11%660M6.18%636M5.45%638M3.89%641M--622M--622M-14.31%599M-17.24%605M
Non current deferred liabilities 0.79%769M-9.81%726M-9.81%726M5.11%740M8.31%756M11.88%763M4.41%805M4.41%805M-3.56%704M-5.55%698M
Total deposits ---------------------------------96.08%24M2,810.34%844M
Unrepurchased pre-sale securities 0.00%9M0.00%9M0.00%9M12.50%9M12.50%9M-87.67%9M--9M--9M-11.11%8M-96.95%8M
Employee benefits -3.48%277M19.92%313M19.92%313M-6.92%269M4.93%298M-7.72%287M--261M--261M-19.50%289M-22.40%284M
Derivative product liabilities 38.24%94M-38.10%91M-38.10%91M-54.92%133M-73.33%32M-46.88%68M--147M--147M67.61%295M-37.50%120M
Other liabilities -19.32%426M-15.76%417M-15.76%417M-41.40%402M-72.58%119M20.55%528M-84.18%495M-84.18%495M3,510.53%686M2,070.00%434M
Total liabilities 3.28%39.42B5.03%39.5B5.03%39.5B-19.77%39.33B-20.60%37.98B-22.10%38.17B-1.54%37.61B-1.54%37.61B-1.81%49.02B-3.41%47.84B
Shareholders'equity
Share capital 6.29%9.74B9.63%9.72B9.63%9.72B9.65%9.72B3.23%9.16B3.00%9.16B1.29%8.86B1.29%8.86B1.28%8.86B1.41%8.87B
-common stock 7.64%8.12B7.39%8.1B7.39%8.1B7.40%8.1B-0.13%7.54B-0.40%7.54B-0.45%7.54B-0.45%7.54B-0.46%7.54B-0.32%7.55B
-Preferred stock 0.00%1.62B22.47%1.62B22.47%1.62B22.47%1.62B22.47%1.62B22.47%1.62B12.51%1.32B12.51%1.32B12.51%1.32B12.51%1.32B
Paid-in capital --271M7.81%290M7.81%290M10.55%262M22.17%248M----27.49%269M27.49%269M--237M--203M
Retained earnings 11.37%7.02B-16.64%6.5B-16.64%6.5B-19.53%6.18B-17.78%6.25B-6.62%6.31B18.16%7.8B18.16%7.8B37.13%7.68B39.64%7.6B
Gains losses not affecting retained earnings -28.63%-292M70.58%-321M70.58%-321M52.92%-767M42.44%-670M-228.99%-227M-305.85%-1.09B-305.85%-1.09B-311.01%-1.63B-277.44%-1.16B
Total stockholders'equity 9.84%16.74B2.19%16.19B2.19%16.19B1.60%15.39B-3.39%14.99B-3.46%15.24B-1.56%15.84B-1.56%15.84B0.18%15.15B4.47%15.52B
Noncontrolling interests 0.00%285M0.00%285M0.00%285M0.00%285M-50.17%285M-50.17%285M-74.30%285M-74.30%285M-74.60%285M-48.79%572M
Total equity 9.65%17.03B2.15%16.48B2.15%16.48B1.57%15.68B-5.05%15.27B-5.09%15.53B-6.25%16.13B-6.25%16.13B-4.99%15.44B0.75%16.09B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
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