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IFC.PR.K Intact Financial Corp

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  • 22.700
  • -0.060-0.26%
15min DelayPost Market May 8 15:55 ET
4.00BMarket Cap0.00P/E (TTM)

Intact Financial Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
114.07%578M
83.48%3.39B
182.68%1.08B
-18.55%1.1B
51.78%938M
153.36%270M
-49.63%1.85B
-58.94%381M
-6.95%1.35B
-10.30%618M
Net income from continuing operations
2.29%849M
59.53%2.88B
13.86%838M
24.46%229M
194.59%981M
50.64%830M
-40.01%1.8B
74.82%736M
-60.85%184M
-77.18%333M
Operating gains losses
-150.00%-115M
-55.98%-613M
136.80%230M
-461.05%-621M
-117.05%-45M
78.70%-46M
-577.59%-393M
-862.20%-625M
-37.45%172M
159.86%264M
Securities amortization
-8.82%-37M
-254.05%-131M
-11.76%-38M
-121.43%-31M
-566.67%-28M
-780.00%-34M
-130.83%-37M
-409.09%-34M
-146.67%-14M
-84.62%6M
Derivatives unrealized gains and losses
-67.44%28M
325.35%302M
-65.29%42M
471.67%223M
----
115.00%86M
163.39%71M
450.00%121M
42.31%-60M
----
Remuneration paid in stock
22.22%22M
12.50%135M
50.00%48M
30.43%30M
5.41%39M
-35.71%18M
-21.05%120M
-28.89%32M
-53.06%23M
27.59%37M
Other non cash items
71.05%-44M
-243.68%-125M
-2,544.44%-220M
-96.88%1M
1,750.00%66M
-575.00%-152M
-15.53%87M
1,000.00%9M
39.13%32M
-107.14%-4M
Change in working capital
85.38%-44M
416.96%916M
128.85%119M
42.07%1.21B
11.20%-111M
71.79%-301M
-216.06%-289M
-76.36%52M
49.04%851M
34.90%-125M
-Change in other current assets
20.19%-83M
-840.00%-74M
-129.82%-17M
950.00%84M
-54.17%-37M
-235.48%-104M
123.81%10M
137.50%57M
112.31%8M
-177.42%-24M
-Change in other current liabilities
-147.46%-28M
82.85%-202M
122.22%12M
-727.27%-91M
0.55%-182M
106.34%59M
-1,491.89%-1.18B
-154.55%-54M
-111.70%-11M
2.14%-183M
Dividends received (cash flow from operating activities)
-60.87%9M
12.82%44M
-68.75%5M
0.00%6M
-16.67%10M
360.00%23M
-20.41%39M
23.08%16M
-71.43%6M
9.09%12M
Tax refund paid
16.37%-281M
-386.93%-745M
-76.32%-134M
-950.00%-119M
-155.74%-156M
-1,020.00%-336M
62.50%-153M
-171.43%-76M
166.67%14M
64.33%-61M
Cash from discontinued operating activities
Operating cash flow
114.07%578M
83.48%3.39B
182.68%1.08B
-18.55%1.1B
51.78%938M
153.36%270M
-49.63%1.85B
-58.94%381M
-6.95%1.35B
-10.30%618M
Investing cash flow
Cash flow from continuing investing activities
-114.75%-50M
19.50%-1.61B
-10.97%-698M
7.20%-1.19B
77.45%-69M
62.98%339M
26.98%-2.01B
16.80%-629M
19.17%-1.28B
-136.73%-306M
Net intangibles purchase and sale
10.10%-89M
6.33%-429M
10.53%-102M
10.66%-109M
-6.25%-119M
10.00%-99M
-11.44%-458M
4.20%-114M
-23.23%-122M
-3.70%-112M
Net business purchase and sale
-361.90%-291M
95.48%-45M
97.41%-24M
77.10%-30M
928.57%72M
-212.50%-63M
-221.19%-995M
-2,548.57%-927M
24.28%-131M
-99.35%7M
Net investment purchase and sale
-34.13%330M
-106.52%-1.14B
-238.83%-572M
-2.15%-1.05B
89.05%-22M
91.22%501M
82.51%-552M
168.44%412M
21.70%-1.03B
-52.27%-201M
Cash from discontinued investing activities
Investing cash flow
-114.75%-50M
19.50%-1.61B
-10.97%-698M
7.20%-1.19B
77.45%-69M
62.98%339M
26.98%-2.01B
16.80%-629M
19.17%-1.28B
-136.73%-306M
Financing cash flow
Cash flow from continuing financing activities
57.97%-290M
-724.92%-2.01B
-385.29%-495M
-174.17%-359M
-39.58%-462M
-355.56%-690M
114.54%321M
79.48%-102M
293.50%484M
77.56%-331M
Net issuance payments of debt
104.62%19M
-218.58%-568M
-265.93%-224M
9.93%166M
-130.23%-99M
-274.15%-411M
156.02%479M
146.08%135M
-59.30%151M
95.99%-43M
Net common stock issuance
-19.57%-55M
-148.23%-204M
-366.67%-28M
-101.47%-8M
-73.44%-111M
13.21%-46M
261.45%423M
0.00%-6M
1,041.38%546M
53.62%-64M
Net preferred stock issuance
----
--0
--0
--0
----
--0
102.74%296M
--0
--0
----
Cash dividends paid
-9.01%-254M
-10.56%-953M
-8.48%-243M
-9.39%-233M
-12.96%-244M
-11.48%-233M
-13.12%-862M
-17.28%-224M
-12.11%-213M
-12.50%-216M
Proceeds from stock option exercised by employees
----
--11M
--0
--0
----
----
--0
--0
--0
----
Net other financing charges
----
-1,846.67%-292M
--0
---284M
0.00%-8M
----
96.84%-15M
0.00%-7M
----
-14.29%-8M
Cash from discontinued financing activities
Financing cash flow
57.97%-290M
-724.92%-2.01B
-385.29%-495M
-174.17%-359M
-39.58%-462M
-355.56%-690M
114.54%321M
79.48%-102M
293.50%484M
77.56%-331M
Net cash flow
Beginning cash position
-14.86%997M
15.94%1.17B
-29.26%1.08B
55.23%1.52B
11.30%1.1B
15.94%1.17B
-55.62%1.01B
16.87%1.53B
-20.20%976M
-13.90%991M
Current changes in cash
393.83%238M
-243.83%-233M
66.86%-116M
-179.25%-443M
2,242.11%407M
-189.29%-81M
112.58%162M
-7.69%-350M
14,075.00%559M
-140.43%-19M
Effect of exchange rate changes
7.69%14M
6,000.00%59M
400.00%30M
375.00%11M
25.00%5M
44.44%13M
-104.55%-1M
-140.00%-10M
-114.29%-4M
166.67%4M
End cash Position
13.24%1.25B
-14.86%997M
-14.86%997M
-29.26%1.08B
55.23%1.52B
11.30%1.1B
15.94%1.17B
15.94%1.17B
16.87%1.53B
-20.20%976M
Free cash flow
185.96%489M
113.11%2.96B
265.17%975M
-19.33%993M
61.86%819M
127.76%171M
-57.34%1.39B
-67.00%267M
-9.15%1.23B
-12.91%506M
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 114.07%578M83.48%3.39B182.68%1.08B-18.55%1.1B51.78%938M153.36%270M-49.63%1.85B-58.94%381M-6.95%1.35B-10.30%618M
Net income from continuing operations 2.29%849M59.53%2.88B13.86%838M24.46%229M194.59%981M50.64%830M-40.01%1.8B74.82%736M-60.85%184M-77.18%333M
Operating gains losses -150.00%-115M-55.98%-613M136.80%230M-461.05%-621M-117.05%-45M78.70%-46M-577.59%-393M-862.20%-625M-37.45%172M159.86%264M
Securities amortization -8.82%-37M-254.05%-131M-11.76%-38M-121.43%-31M-566.67%-28M-780.00%-34M-130.83%-37M-409.09%-34M-146.67%-14M-84.62%6M
Derivatives unrealized gains and losses -67.44%28M325.35%302M-65.29%42M471.67%223M----115.00%86M163.39%71M450.00%121M42.31%-60M----
Remuneration paid in stock 22.22%22M12.50%135M50.00%48M30.43%30M5.41%39M-35.71%18M-21.05%120M-28.89%32M-53.06%23M27.59%37M
Other non cash items 71.05%-44M-243.68%-125M-2,544.44%-220M-96.88%1M1,750.00%66M-575.00%-152M-15.53%87M1,000.00%9M39.13%32M-107.14%-4M
Change in working capital 85.38%-44M416.96%916M128.85%119M42.07%1.21B11.20%-111M71.79%-301M-216.06%-289M-76.36%52M49.04%851M34.90%-125M
-Change in other current assets 20.19%-83M-840.00%-74M-129.82%-17M950.00%84M-54.17%-37M-235.48%-104M123.81%10M137.50%57M112.31%8M-177.42%-24M
-Change in other current liabilities -147.46%-28M82.85%-202M122.22%12M-727.27%-91M0.55%-182M106.34%59M-1,491.89%-1.18B-154.55%-54M-111.70%-11M2.14%-183M
Dividends received (cash flow from operating activities) -60.87%9M12.82%44M-68.75%5M0.00%6M-16.67%10M360.00%23M-20.41%39M23.08%16M-71.43%6M9.09%12M
Tax refund paid 16.37%-281M-386.93%-745M-76.32%-134M-950.00%-119M-155.74%-156M-1,020.00%-336M62.50%-153M-171.43%-76M166.67%14M64.33%-61M
Cash from discontinued operating activities
Operating cash flow 114.07%578M83.48%3.39B182.68%1.08B-18.55%1.1B51.78%938M153.36%270M-49.63%1.85B-58.94%381M-6.95%1.35B-10.30%618M
Investing cash flow
Cash flow from continuing investing activities -114.75%-50M19.50%-1.61B-10.97%-698M7.20%-1.19B77.45%-69M62.98%339M26.98%-2.01B16.80%-629M19.17%-1.28B-136.73%-306M
Net intangibles purchase and sale 10.10%-89M6.33%-429M10.53%-102M10.66%-109M-6.25%-119M10.00%-99M-11.44%-458M4.20%-114M-23.23%-122M-3.70%-112M
Net business purchase and sale -361.90%-291M95.48%-45M97.41%-24M77.10%-30M928.57%72M-212.50%-63M-221.19%-995M-2,548.57%-927M24.28%-131M-99.35%7M
Net investment purchase and sale -34.13%330M-106.52%-1.14B-238.83%-572M-2.15%-1.05B89.05%-22M91.22%501M82.51%-552M168.44%412M21.70%-1.03B-52.27%-201M
Cash from discontinued investing activities
Investing cash flow -114.75%-50M19.50%-1.61B-10.97%-698M7.20%-1.19B77.45%-69M62.98%339M26.98%-2.01B16.80%-629M19.17%-1.28B-136.73%-306M
Financing cash flow
Cash flow from continuing financing activities 57.97%-290M-724.92%-2.01B-385.29%-495M-174.17%-359M-39.58%-462M-355.56%-690M114.54%321M79.48%-102M293.50%484M77.56%-331M
Net issuance payments of debt 104.62%19M-218.58%-568M-265.93%-224M9.93%166M-130.23%-99M-274.15%-411M156.02%479M146.08%135M-59.30%151M95.99%-43M
Net common stock issuance -19.57%-55M-148.23%-204M-366.67%-28M-101.47%-8M-73.44%-111M13.21%-46M261.45%423M0.00%-6M1,041.38%546M53.62%-64M
Net preferred stock issuance ------0--0--0------0102.74%296M--0--0----
Cash dividends paid -9.01%-254M-10.56%-953M-8.48%-243M-9.39%-233M-12.96%-244M-11.48%-233M-13.12%-862M-17.28%-224M-12.11%-213M-12.50%-216M
Proceeds from stock option exercised by employees ------11M--0--0----------0--0--0----
Net other financing charges -----1,846.67%-292M--0---284M0.00%-8M----96.84%-15M0.00%-7M-----14.29%-8M
Cash from discontinued financing activities
Financing cash flow 57.97%-290M-724.92%-2.01B-385.29%-495M-174.17%-359M-39.58%-462M-355.56%-690M114.54%321M79.48%-102M293.50%484M77.56%-331M
Net cash flow
Beginning cash position -14.86%997M15.94%1.17B-29.26%1.08B55.23%1.52B11.30%1.1B15.94%1.17B-55.62%1.01B16.87%1.53B-20.20%976M-13.90%991M
Current changes in cash 393.83%238M-243.83%-233M66.86%-116M-179.25%-443M2,242.11%407M-189.29%-81M112.58%162M-7.69%-350M14,075.00%559M-140.43%-19M
Effect of exchange rate changes 7.69%14M6,000.00%59M400.00%30M375.00%11M25.00%5M44.44%13M-104.55%-1M-140.00%-10M-114.29%-4M166.67%4M
End cash Position 13.24%1.25B-14.86%997M-14.86%997M-29.26%1.08B55.23%1.52B11.30%1.1B15.94%1.17B15.94%1.17B16.87%1.53B-20.20%976M
Free cash flow 185.96%489M113.11%2.96B265.17%975M-19.33%993M61.86%819M127.76%171M-57.34%1.39B-67.00%267M-9.15%1.23B-12.91%506M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --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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