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IFCZF INTACT FINANCIAL CORPORATION
138.3600.0000.00%
YOY
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(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Assets
Total investments
68.19% 35.85B 72.2% 35.95B 72.2% 35.95B 75.69% 34.94B
-Fixed maturity investments
78.44% 24.66B -- -- -- -- -- --
-Equity investments
45.22% 6.66B 164.88% 10.62B 164.88% 10.62B 174.88% 9.96B
-Net loan
291.57% 975M 227.46% 930M 227.46% 930M 244.76% 986M
-Investments in other ventures under equity method
0.13% 778M -6.29% 760M -6.29% 760M -1.44% 751M
-Short term investments
3.48% 1.81B 1363.98% 22.72B 1363.98% 22.72B 1429.76% 22.52B
-Other invested assets
630.3% 964M 657.02% 916M 657.02% 916M 558.18% 724M
Cash and cash equivalents
8.38% 1.15B 148.2% 2.28B 148.2% 2.28B 260.1% 3.01B
Restricted cash and cash equivalents
-13.51% 64M -15.12% 73M -15.12% 73M -18.89% 73M
Reinsurance recoverable
172.43% 4.08B 182% 4.32B 182% 4.32B 184.03% 4.32B
Receivables
111.85% 8.36B 107.39% 9.01B 107.39% 9.01B 102.42% 8.94B
-Accounts receivable
113.29% 7.71B 107.24% 8.3B 107.24% 8.3B 108.02% 8.33B
-Taxes receivable
1181.25% 205M 2728.57% 198M 2728.57% 198M 311.11% 111M
-Other receivables
42.01% 453M 54.05% 513M 54.05% 513M 30.15% 505M
Accrued investment income
51.33% 171M 75.76% 174M 75.76% 174M 95.58% 221M
Prepaid assets
1235.16% 1.71B 1175.44% 1.45B 1175.44% 1.45B 2201.45% 1.59B
Deferred policy acquisition costs
83.12% 1.89B 85.86% 2.02B 85.86% 2.02B 88.13% 2.06B
Net PPE
43.74% 746M 48.85% 774M 48.85% 774M 51.22% 803M
Goodwill and other intangible assets
42.25% 7.57B 44.58% 7.7B 44.58% 7.7B 42.66% 7.65B
-Goodwill
9.49% 3.09B 8.99% 3.07B 8.99% 3.07B 7.65% 3.01B
-Other intangible assets
79.33% 4.48B 84.41% 4.64B 84.41% 4.64B 80.94% 4.63B
Defined pension benefit
1817.81% 1.4B -- 1.03B -- 1.03B -- 967M
Assets of discontinued operations
-- 1.7B -- 842M -- 842M -- 859M
Other assets
392.59% 133M 286.49% 143M 286.49% 143M 290.63% 125M
Total assets
85.33% 65.35B 88.93% 66.35B 88.93% 66.35B 94% 66.17B
Liabilities
Policy holders liabilities reserve
85.48% 35.56B 88.71% 36.82B 88.71% 36.82B 89.14% 37.01B
Payables
217.84% 4.56B 177.32% 4.34B 177.32% 4.34B 220.94% 4.52B
-Accounts payable
493.25% 2.72B 538.91% 2.1B 538.91% 2.1B 549.86% 2.37B
-Total tax payable
32.62% 370M 31.31% 541M 31.31% 541M 75.09% 485M
-Other payable
110.62% 1.47B 105.95% 1.7B 105.95% 1.7B 117.08% 1.67B
Current accrued expenses
44.83% 378M 41.26% 380M 41.26% 380M 50% 327M
Short term debt and capital lease obligation
-- 301M -- 439M -- 439M 15633.33% 472M
-Current debt
-- 301M -- 439M -- 439M 15633.33% 472M
Long term provisions
-- 101M -- 112M -- 112M -- 139M
Long term debt and capital lease obligation
54.76% 5.69B 55.62% 5.43B 55.62% 5.43B 89.52% 5.55B
-Long term debt
56.6% 5.07B 57.51% 4.79B 57.51% 4.79B 96.2% 4.85B
-Long term capital lease obligation
41.19% 617M 42.73% 638M 42.73% 638M 53.29% 699M
Non current deferred liabilities
150.74% 682M 150.18% 698M 150.18% 698M 164.49% 730M
Total deposits
2766.67% 774M 2726.92% 735M 2726.92% 735M 2960% 612M
Unrepurchased pre-sale securities
-- 64M -- -- -- -- -- --
Employee benefits
61.98% 311M 15.56% 364M 15.56% 364M 12.89% 359M
Derivative product liabilities
11.3% 128M 489.47% 224M 489.47% 224M -- 176M
Other liabilities
871.74% 447M -40% 27M -40% 27M -81.7% 28M
Total liabilities
94.46% 49B 94.1% 49.57B 94.1% 49.57B 100.55% 49.93B
Shareholders'equity
Share capital
100.32% 8.89B 97.09% 8.75B 97.09% 8.75B 97.09% 8.75B
-common stock
131.91% 7.57B 132.04% 7.58B 132.04% 7.58B 132.04% 7.58B
-Preferred stock
12.51% 1.32B 0% 1.18B 0% 1.18B 0% 1.18B
Paid-in capital
11.23% 208M 12.83% 211M 12.83% 211M -- --
Retained earnings
33.03% 6.75B 35.98% 6.18B 35.98% 6.18B 30.41% 5.6B
Gains losses not affecting retained earnings
-118.9% -69M 29.34% 529M 29.34% 529M 153.95% 772M
Total stockholders'equity
56.79% 15.79B 63.56% 15.67B 63.56% 15.67B 64.11% 15.12B
Noncontrolling interests
-- 572M -- 1.11B -- 1.11B -- 1.12B
Total equity
62.47% 16.36B 75.13% 16.78B 75.13% 16.78B 76.29% 16.25B
Currency Unit
CADCADCADCAD
Audit Opinions
--Unqualified Opinion----

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%