US Stock MarketDetailed Quotes

IGIFF IGM FINANCIAL INC

Watchlist
  • 27.520
  • -0.540-1.92%
15min DelayClose May 13 16:00 ET
  • 27.322
  • -0.198-0.72%
Post 16:51 ET
6.53BMarket Cap9.04P/E (TTM)

IGM FINANCIAL INC 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
Current assets
Cash, cash equivalents and short term investments
-55.42%500.13M
-24.44%1.27B
-24.44%1.27B
7.18%1.12B
-73.65%413.17M
-50.09%1.12B
-35.16%1.68B
-35.16%1.68B
-6.55%1.05B
62.19%1.57B
-Cash and cash equivalents
-3.15%500.13M
-49.24%544.63M
-49.24%544.63M
-50.72%517.19M
-57.37%413.17M
-56.41%516.38M
-16.99%1.07B
-16.99%1.07B
-6.55%1.05B
0.24%969.11M
-Short-term investments
----
19.71%721.38M
19.71%721.38M
--607.72M
----
-43.04%605.4M
-53.34%602.61M
-53.34%602.61M
----
--598.98M
Receivables
4.44%5.52B
1.42%5.48B
1.42%5.48B
-1.27%5.45B
-2.04%5.39B
-4.99%5.28B
-6.12%5.41B
-6.12%5.41B
-8.01%5.52B
-12.70%5.51B
-Accounts receivable
8.72%399.35M
-9.02%335.55M
-9.02%335.55M
-18.53%322.53M
-9.61%339.84M
-9.91%367.31M
-4.74%368.81M
-4.74%368.81M
-5.31%395.9M
-13.18%375.97M
-Loans receivable
4.06%5.09B
1.74%5.11B
1.74%5.11B
-0.25%5.08B
-1.90%5.01B
-4.58%4.89B
-6.21%5.02B
-6.21%5.02B
-8.36%5.09B
-12.45%5.1B
-Taxes receivable
16.73%28.01M
146.35%38.29M
146.35%38.29M
51.77%45.94M
82.32%46.23M
-7.50%24M
-10.38%15.54M
-10.38%15.54M
25.46%30.27M
-41.72%25.36M
Restricted cash
-28.21%3.02B
-22.58%3.37B
-22.58%3.37B
11.61%3.52B
39.67%3.89B
61.97%4.21B
94.20%4.35B
94.20%4.35B
92.06%3.15B
89.17%2.79B
Total current assets
-20.18%9.04B
-11.50%10.11B
-11.50%10.11B
10.95%10.78B
5.28%10.38B
8.83%11.32B
8.01%11.43B
8.01%11.43B
10.93%9.72B
12.73%9.86B
Non current assets
Net PPE
-0.29%305.93M
-5.92%306.96M
-5.92%306.96M
-6.97%300.6M
-7.02%303.08M
-3.34%306.82M
3.27%326.29M
3.27%326.29M
0.83%323.12M
-1.36%325.97M
-Gross PPE
----
-0.39%701.14M
-0.39%701.14M
----
----
----
5.71%703.91M
5.71%703.91M
----
----
-Accumulated depreciation
----
-4.38%-394.18M
-4.38%-394.18M
----
----
----
-7.91%-377.62M
-7.91%-377.62M
----
----
Goodwill and other intangible assets
1.32%3.89B
-6.68%3.89B
-6.68%3.89B
-7.13%3.86B
-7.68%3.84B
-7.70%3.84B
0.17%4.17B
0.17%4.17B
0.63%4.16B
0.56%4.16B
-Goodwill
0.00%2.64B
-5.90%2.64B
-5.90%2.64B
-5.90%2.64B
-5.90%2.64B
-5.90%2.64B
0.00%2.8B
0.00%2.8B
0.00%2.8B
0.00%2.8B
-Other intangible assets
4.21%1.25B
-8.28%1.25B
-8.28%1.25B
-9.67%1.23B
-11.36%1.2B
-11.41%1.2B
0.51%1.36B
0.51%1.36B
1.96%1.36B
1.72%1.36B
Investments and advances
55.59%4.61B
70.99%3.8B
70.99%3.8B
33.26%3.77B
97.94%4.32B
36.62%2.97B
3.17%2.22B
3.17%2.22B
-15.25%2.83B
-33.13%2.18B
Financial assets
-25.40%39.34M
-32.88%42.73M
-32.88%42.73M
9.89%65.51M
23.19%64.79M
11.74%52.74M
54.63%63.67M
54.63%63.67M
32.73%59.61M
27.48%52.59M
Non current deferred assets
-22.88%600K
-9.97%52.07M
-9.97%52.07M
-65.95%777K
-45.71%1.01M
-78.97%778K
-29.04%57.83M
-29.04%57.83M
-91.63%2.28M
-94.43%1.87M
Defined pension benefit
----
-29.02%61.59M
-29.02%61.59M
----
----
----
--86.78M
--86.78M
----
----
Other non current assets
6.96%542.93M
3.00%396.78M
3.00%396.78M
12.92%567.68M
3.95%521.61M
9.19%507.61M
17.63%385.22M
17.63%385.22M
35.61%502.74M
45.40%501.81M
Total non current assets
22.42%9.39B
16.97%8.55B
16.97%8.55B
8.78%8.57B
25.29%9.05B
7.11%7.67B
3.24%7.31B
3.24%7.31B
-4.35%7.88B
-11.37%7.22B
Total assets
-2.97%18.43B
-0.40%18.66B
-0.40%18.66B
9.98%19.35B
13.74%19.43B
8.13%19B
6.10%18.74B
6.10%18.74B
3.53%17.59B
1.11%17.08B
Liabilities
Current liabilities
Payables
-8.08%374.47M
-8.95%588.17M
-8.95%588.17M
-13.02%446.8M
-11.09%449.68M
-16.66%407.38M
-18.47%645.98M
-18.47%645.98M
-13.77%513.68M
-6.36%505.79M
-accounts payable
-7.14%372.16M
-11.83%444.69M
-11.83%444.69M
-13.64%439.56M
-11.96%441.02M
-16.64%400.78M
-8.86%504.37M
-8.86%504.37M
-4.13%508.98M
-0.60%500.91M
-Total tax payable
-64.97%2.31M
20.36%9.54M
20.36%9.54M
54.03%7.24M
77.60%8.67M
-18.10%6.6M
-92.39%7.92M
-92.39%7.92M
-92.75%4.7M
-86.52%4.88M
-Dividends payable
----
0.20%133.95M
0.20%133.95M
----
----
----
-0.84%133.69M
-0.84%133.69M
----
----
Current accrued expenses
----
9.80%40.25M
9.80%40.25M
----
----
----
36.92%36.66M
36.92%36.66M
----
----
Current debt and capital lease obligation
9.94%2.3B
6.87%2.3B
6.87%2.3B
--2.28B
-0.28%2.1B
-6.32%2.09B
-10.64%2.15B
-10.64%2.15B
----
-22.01%2.1B
-Current debt
9.94%2.3B
6.87%2.3B
6.87%2.3B
--2.28B
-0.28%2.1B
-6.32%2.09B
-10.64%2.15B
-10.64%2.15B
----
-22.01%2.1B
Other current liabilities
----
----
----
--312.69M
--306.4M
--339.34M
----
----
----
----
Current liabilities
-5.79%2.67B
3.30%2.93B
3.30%2.93B
490.84%3.04B
9.37%2.85B
4.29%2.84B
-12.17%2.83B
-12.17%2.83B
-83.48%513.68M
-19.39%2.61B
Non current liabilities
Long term provisions
----
259.19%65.93M
259.19%65.93M
----
----
----
-31.18%18.36M
-31.18%18.36M
----
----
Long term debt and capital lease obligation
3.35%4.92B
4.35%4.96B
4.35%4.96B
-20.81%5.52B
14.89%5.57B
-2.99%4.76B
-3.97%4.75B
-3.97%4.75B
37.99%6.97B
-6.16%4.85B
-Long term debt
3.63%4.75B
5.03%4.79B
5.03%4.79B
-21.10%5.35B
15.93%5.4B
-2.79%4.58B
-4.03%4.56B
-4.03%4.56B
39.65%6.78B
-6.26%4.66B
-Long term capital lease obligation
-3.93%170.07M
-11.85%169.94M
-11.85%169.94M
-10.62%172.23M
-10.07%174.19M
-7.94%177.03M
-2.61%192.79M
-2.61%192.79M
-2.67%192.69M
-3.79%193.69M
Non current deferred liabilities
6.75%468.16M
-1.96%442.19M
-1.96%442.19M
-0.13%440.78M
-1.66%426.78M
-11.92%438.55M
-14.17%451.01M
-14.17%451.01M
-13.85%441.34M
-13.29%433.99M
Employee benefits
----
4.70%85.19M
4.70%85.19M
----
----
----
-35.29%81.37M
-35.29%81.37M
----
----
Derivative product liabilities
6.13%50.12M
-3.88%49.58M
-3.88%49.58M
35.42%76.5M
8.94%58.22M
78.93%47.22M
190.22%51.58M
190.22%51.58M
196.68%56.49M
139.46%53.44M
Other non current liabilities
-25.48%3.38B
-22.76%3.41B
-22.76%3.41B
11.58%3.89B
38.08%4.28B
51.03%4.53B
93.10%4.42B
93.10%4.42B
74.03%3.48B
67.86%3.1B
Total non current liabilities
-9.85%8.81B
-7.76%9.02B
-7.76%9.02B
-9.39%9.93B
22.52%10.34B
15.96%9.78B
23.20%9.77B
23.20%9.77B
44.40%10.96B
11.93%8.44B
Total liabilities
-8.94%11.49B
-5.27%11.94B
-5.27%11.94B
13.02%12.96B
19.42%13.19B
13.11%12.61B
12.98%12.61B
12.98%12.61B
7.23%11.47B
2.53%11.05B
Shareholders'equity
Share capital
0.08%1.69B
1.07%1.69B
1.07%1.69B
1.08%1.69B
0.95%1.69B
-0.10%1.69B
0.85%1.67B
0.85%1.67B
2.38%1.67B
3.16%1.67B
-common stock
0.08%1.69B
1.07%1.69B
1.07%1.69B
1.08%1.69B
0.95%1.69B
-0.10%1.69B
0.85%1.67B
0.85%1.67B
2.38%1.67B
3.16%1.67B
Retained earnings
10.57%4.67B
15.66%4.6B
15.66%4.6B
7.19%4.31B
7.39%4.23B
8.93%4.23B
3.02%3.97B
3.02%3.97B
7.98%4.02B
9.93%3.94B
Paid-in capital
7.76%58.79M
7.00%57.93M
7.00%57.93M
6.74%56.43M
7.66%55.51M
8.47%54.56M
6.00%54.13M
6.00%54.13M
1.11%52.87M
-1.28%51.56M
Gains losses not affecting retained earnings
30.28%464.63M
-12.81%316.29M
-12.81%316.29M
-13.13%276.15M
-35.96%202.43M
-52.15%356.64M
-58.92%362.77M
-58.92%362.77M
-62.25%317.9M
-61.04%316.08M
Total stockholders'equity
8.86%6.89B
9.85%6.66B
9.85%6.66B
4.43%6.33B
3.30%6.18B
-0.62%6.33B
-6.00%6.06B
-6.00%6.06B
-3.00%6.06B
-1.46%5.98B
Noncontrolling interests
2.85%59.13M
-10.09%59.95M
-10.09%59.95M
-9.50%58.23M
8.79%58.12M
10.15%57.49M
29.87%66.68M
29.87%66.68M
26.93%64.34M
6.94%53.42M
Total equity
8.80%6.95B
9.63%6.72B
9.63%6.72B
4.29%6.39B
3.35%6.24B
-0.53%6.38B
-5.71%6.13B
-5.71%6.13B
-2.76%6.13B
-1.39%6.03B
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
Current assets
Cash, cash equivalents and short term investments -55.42%500.13M-24.44%1.27B-24.44%1.27B7.18%1.12B-73.65%413.17M-50.09%1.12B-35.16%1.68B-35.16%1.68B-6.55%1.05B62.19%1.57B
-Cash and cash equivalents -3.15%500.13M-49.24%544.63M-49.24%544.63M-50.72%517.19M-57.37%413.17M-56.41%516.38M-16.99%1.07B-16.99%1.07B-6.55%1.05B0.24%969.11M
-Short-term investments ----19.71%721.38M19.71%721.38M--607.72M-----43.04%605.4M-53.34%602.61M-53.34%602.61M------598.98M
Receivables 4.44%5.52B1.42%5.48B1.42%5.48B-1.27%5.45B-2.04%5.39B-4.99%5.28B-6.12%5.41B-6.12%5.41B-8.01%5.52B-12.70%5.51B
-Accounts receivable 8.72%399.35M-9.02%335.55M-9.02%335.55M-18.53%322.53M-9.61%339.84M-9.91%367.31M-4.74%368.81M-4.74%368.81M-5.31%395.9M-13.18%375.97M
-Loans receivable 4.06%5.09B1.74%5.11B1.74%5.11B-0.25%5.08B-1.90%5.01B-4.58%4.89B-6.21%5.02B-6.21%5.02B-8.36%5.09B-12.45%5.1B
-Taxes receivable 16.73%28.01M146.35%38.29M146.35%38.29M51.77%45.94M82.32%46.23M-7.50%24M-10.38%15.54M-10.38%15.54M25.46%30.27M-41.72%25.36M
Restricted cash -28.21%3.02B-22.58%3.37B-22.58%3.37B11.61%3.52B39.67%3.89B61.97%4.21B94.20%4.35B94.20%4.35B92.06%3.15B89.17%2.79B
Total current assets -20.18%9.04B-11.50%10.11B-11.50%10.11B10.95%10.78B5.28%10.38B8.83%11.32B8.01%11.43B8.01%11.43B10.93%9.72B12.73%9.86B
Non current assets
Net PPE -0.29%305.93M-5.92%306.96M-5.92%306.96M-6.97%300.6M-7.02%303.08M-3.34%306.82M3.27%326.29M3.27%326.29M0.83%323.12M-1.36%325.97M
-Gross PPE -----0.39%701.14M-0.39%701.14M------------5.71%703.91M5.71%703.91M--------
-Accumulated depreciation -----4.38%-394.18M-4.38%-394.18M-------------7.91%-377.62M-7.91%-377.62M--------
Goodwill and other intangible assets 1.32%3.89B-6.68%3.89B-6.68%3.89B-7.13%3.86B-7.68%3.84B-7.70%3.84B0.17%4.17B0.17%4.17B0.63%4.16B0.56%4.16B
-Goodwill 0.00%2.64B-5.90%2.64B-5.90%2.64B-5.90%2.64B-5.90%2.64B-5.90%2.64B0.00%2.8B0.00%2.8B0.00%2.8B0.00%2.8B
-Other intangible assets 4.21%1.25B-8.28%1.25B-8.28%1.25B-9.67%1.23B-11.36%1.2B-11.41%1.2B0.51%1.36B0.51%1.36B1.96%1.36B1.72%1.36B
Investments and advances 55.59%4.61B70.99%3.8B70.99%3.8B33.26%3.77B97.94%4.32B36.62%2.97B3.17%2.22B3.17%2.22B-15.25%2.83B-33.13%2.18B
Financial assets -25.40%39.34M-32.88%42.73M-32.88%42.73M9.89%65.51M23.19%64.79M11.74%52.74M54.63%63.67M54.63%63.67M32.73%59.61M27.48%52.59M
Non current deferred assets -22.88%600K-9.97%52.07M-9.97%52.07M-65.95%777K-45.71%1.01M-78.97%778K-29.04%57.83M-29.04%57.83M-91.63%2.28M-94.43%1.87M
Defined pension benefit -----29.02%61.59M-29.02%61.59M--------------86.78M--86.78M--------
Other non current assets 6.96%542.93M3.00%396.78M3.00%396.78M12.92%567.68M3.95%521.61M9.19%507.61M17.63%385.22M17.63%385.22M35.61%502.74M45.40%501.81M
Total non current assets 22.42%9.39B16.97%8.55B16.97%8.55B8.78%8.57B25.29%9.05B7.11%7.67B3.24%7.31B3.24%7.31B-4.35%7.88B-11.37%7.22B
Total assets -2.97%18.43B-0.40%18.66B-0.40%18.66B9.98%19.35B13.74%19.43B8.13%19B6.10%18.74B6.10%18.74B3.53%17.59B1.11%17.08B
Liabilities
Current liabilities
Payables -8.08%374.47M-8.95%588.17M-8.95%588.17M-13.02%446.8M-11.09%449.68M-16.66%407.38M-18.47%645.98M-18.47%645.98M-13.77%513.68M-6.36%505.79M
-accounts payable -7.14%372.16M-11.83%444.69M-11.83%444.69M-13.64%439.56M-11.96%441.02M-16.64%400.78M-8.86%504.37M-8.86%504.37M-4.13%508.98M-0.60%500.91M
-Total tax payable -64.97%2.31M20.36%9.54M20.36%9.54M54.03%7.24M77.60%8.67M-18.10%6.6M-92.39%7.92M-92.39%7.92M-92.75%4.7M-86.52%4.88M
-Dividends payable ----0.20%133.95M0.20%133.95M-------------0.84%133.69M-0.84%133.69M--------
Current accrued expenses ----9.80%40.25M9.80%40.25M------------36.92%36.66M36.92%36.66M--------
Current debt and capital lease obligation 9.94%2.3B6.87%2.3B6.87%2.3B--2.28B-0.28%2.1B-6.32%2.09B-10.64%2.15B-10.64%2.15B-----22.01%2.1B
-Current debt 9.94%2.3B6.87%2.3B6.87%2.3B--2.28B-0.28%2.1B-6.32%2.09B-10.64%2.15B-10.64%2.15B-----22.01%2.1B
Other current liabilities --------------312.69M--306.4M--339.34M----------------
Current liabilities -5.79%2.67B3.30%2.93B3.30%2.93B490.84%3.04B9.37%2.85B4.29%2.84B-12.17%2.83B-12.17%2.83B-83.48%513.68M-19.39%2.61B
Non current liabilities
Long term provisions ----259.19%65.93M259.19%65.93M-------------31.18%18.36M-31.18%18.36M--------
Long term debt and capital lease obligation 3.35%4.92B4.35%4.96B4.35%4.96B-20.81%5.52B14.89%5.57B-2.99%4.76B-3.97%4.75B-3.97%4.75B37.99%6.97B-6.16%4.85B
-Long term debt 3.63%4.75B5.03%4.79B5.03%4.79B-21.10%5.35B15.93%5.4B-2.79%4.58B-4.03%4.56B-4.03%4.56B39.65%6.78B-6.26%4.66B
-Long term capital lease obligation -3.93%170.07M-11.85%169.94M-11.85%169.94M-10.62%172.23M-10.07%174.19M-7.94%177.03M-2.61%192.79M-2.61%192.79M-2.67%192.69M-3.79%193.69M
Non current deferred liabilities 6.75%468.16M-1.96%442.19M-1.96%442.19M-0.13%440.78M-1.66%426.78M-11.92%438.55M-14.17%451.01M-14.17%451.01M-13.85%441.34M-13.29%433.99M
Employee benefits ----4.70%85.19M4.70%85.19M-------------35.29%81.37M-35.29%81.37M--------
Derivative product liabilities 6.13%50.12M-3.88%49.58M-3.88%49.58M35.42%76.5M8.94%58.22M78.93%47.22M190.22%51.58M190.22%51.58M196.68%56.49M139.46%53.44M
Other non current liabilities -25.48%3.38B-22.76%3.41B-22.76%3.41B11.58%3.89B38.08%4.28B51.03%4.53B93.10%4.42B93.10%4.42B74.03%3.48B67.86%3.1B
Total non current liabilities -9.85%8.81B-7.76%9.02B-7.76%9.02B-9.39%9.93B22.52%10.34B15.96%9.78B23.20%9.77B23.20%9.77B44.40%10.96B11.93%8.44B
Total liabilities -8.94%11.49B-5.27%11.94B-5.27%11.94B13.02%12.96B19.42%13.19B13.11%12.61B12.98%12.61B12.98%12.61B7.23%11.47B2.53%11.05B
Shareholders'equity
Share capital 0.08%1.69B1.07%1.69B1.07%1.69B1.08%1.69B0.95%1.69B-0.10%1.69B0.85%1.67B0.85%1.67B2.38%1.67B3.16%1.67B
-common stock 0.08%1.69B1.07%1.69B1.07%1.69B1.08%1.69B0.95%1.69B-0.10%1.69B0.85%1.67B0.85%1.67B2.38%1.67B3.16%1.67B
Retained earnings 10.57%4.67B15.66%4.6B15.66%4.6B7.19%4.31B7.39%4.23B8.93%4.23B3.02%3.97B3.02%3.97B7.98%4.02B9.93%3.94B
Paid-in capital 7.76%58.79M7.00%57.93M7.00%57.93M6.74%56.43M7.66%55.51M8.47%54.56M6.00%54.13M6.00%54.13M1.11%52.87M-1.28%51.56M
Gains losses not affecting retained earnings 30.28%464.63M-12.81%316.29M-12.81%316.29M-13.13%276.15M-35.96%202.43M-52.15%356.64M-58.92%362.77M-58.92%362.77M-62.25%317.9M-61.04%316.08M
Total stockholders'equity 8.86%6.89B9.85%6.66B9.85%6.66B4.43%6.33B3.30%6.18B-0.62%6.33B-6.00%6.06B-6.00%6.06B-3.00%6.06B-1.46%5.98B
Noncontrolling interests 2.85%59.13M-10.09%59.95M-10.09%59.95M-9.50%58.23M8.79%58.12M10.15%57.49M29.87%66.68M29.87%66.68M26.93%64.34M6.94%53.42M
Total equity 8.80%6.95B9.63%6.72B9.63%6.72B4.29%6.39B3.35%6.24B-0.53%6.38B-5.71%6.13B-5.71%6.13B-2.76%6.13B-1.39%6.03B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
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