C$228.99
C$0.00 (0.00%)
End-of-day quote: 05/25/2024
TSX:IFC

Intact Financial Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
C$28.65B C$21.26B C$17.88B C$12.47B C$11.28B C$10.58B C$9.25B C$8.51B C$8.10B C$7.98B C$7.48B C$7.10B C$5.50B C$4.77B C$4.22B C$4.13B C$4.44B C$4.41B C$4.45B C$3.78B
GM % Gross Margin %
12.22% 17.41% 18.49% 15.16% 39.56% 39.60% 11.41% 9.90% 12.63% 13.90% 8.40% 13.60% 14.66% 14.52% 3.44% 2.99% 27.64% 34.21% 36.84% 33.35%
OM Operating Margin
8.32% 14.37% 16.18% 12.38% 37.62% 38.03% 10.15% 8.65% 11.36% 12.79% 7.08% 12.56% 13.57% 13.95% 3.44% 2.99% 15.13% 21.73% 24.72% 22.94%
EPS Earnings Per Share
C$0.00 C$11.70 C$11.88 C$12.41 C$9.92 C$6.16 C$5.74 C$5.60 C$4.88 C$6.38 C$5.67 C$3.62 C$5.00 C$3.91 C$3.47 C$2.35 C$2.96 C$3.71 C$3.92 C$5.85 C$4.66
Div. Dividends
C$4.40 C$4.00 C$3.40 C$3.32 C$3.04 C$2.86 C$2.56 C$2.32 C$2.12 C$1.92 C$1.76 C$1.60 C$1.48 C$1.36 C$1.28 C$1.24 C$1.08 C$1.00 C$0.65 C$0.00
PR % Payout Ratio %
37.61% 33.67% 27.40% 33.47% 49.35% 49.83% 45.71% 47.54% 33.23% 33.86% 48.62% 32.00% 37.85% 39.19% 54.47% 41.89% 29.11% 25.51% 11.11% 0.00%
Sha. Shares
178.32m 175.26m 176.08m 143.02m 143.02m 139.19m 139.19m 131.05m 131.54m 131.54m 131.54m 133.33m 129.55m 112.18m 119.91m 119.91m 124.47m 133.73m 133.73m 128.5m
OCF Operating Cash Flow
C$1.85B C$3.67B C$3.15B C$2.35B C$1.29B C$833.00M C$781.00M C$925.00M C$889.00M C$1.41B C$185.00M C$723.00M C$532.00M C$360.00M C$538.00M C$619.70M C$620.30M C$431.00M C$637.45M C$1.39B
FCF Free Cash Flow
C$1.39B C$3.25B C$2.82B C$2.19B C$1.17B C$716.00M C$683.00M C$805.00M C$800.00M C$1.32B C$87.00M C$650.00M C$476.00M C$318.00M C$487.40M C$572.00M C$572.90M C$390.60M C$591.80M C$1.38B
FCFS Free Cash Flow Per Share
C$7.40 C$18.19 C$17.03 C$14.94 C$8.09 C$4.86 C$4.93 C$5.98 C$5.92 C$9.84 C$0.50 C$4.81 C$4.06 C$2.76 C$4.07 C$4.69 C$4.52 C$2.92 C$4.43 C$14.38