FAIRFAX FINANCIAL HOLDINGS LTDFRFHF

Market cap
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net earnings1,6158181,971373,6671,2875,0954,263
Depreciation, amortization and impairment charges----930684896754
Net bond discount amortization----65-34-406-310
Adjustments for share-based payments52668084104146147165
Non-insurance companies---1----
Share of profit of associates201221170-1134021,0151,022956
Deferred income taxes230-1058458339-182173255
Net gains on investments----3,387-1,7341,9501,067
Gain on sale and consolidation of insurance subsidiaries---1172641,220550-
Net purchases of investments classified at FVTPL----2,614-9,640-5,499-516
Changes in operating assets and liabilities-555-273-954-1,873-2,987-3,820-3,076-1,407
Cash provided by (used in) operating activities2,701-1,9241,3551406,641-4,420-393,994
Sales of investments in associates1,0154453241408091931,065683
Distributions and dividends from investments in associates-------420
Purchases of investments in associates1,02753677230175364882630
Net purchases of premises and equipment and intangible assets415237320273354419514409
Net (purchases) sales of investment property----278553-33
Purchases of subsidiaries, net of cash acquired1,108163210--1,259230-2411,421
Holding company and insurance and reinsurance companies-----1,109129-
Non-insurance companies-----11-67
Cash provided by (used in) investing activities-894-629-1,204-471,83938592-1,323
Holding company and insurance and reinsurance companies----1,2507433942,431
Non-insurance companies----499472291,381
Holding company and insurance and reinsurance companies----9330301,210
Non-insurance companies----59425164665
Net repayments on other revolving credit facilities-----84-35-10-
Net repayments on revolving credit facilities and short term loans-----304-185-51
Holding company and insurance and reinsurance companies----65696563
Non-insurance companies----163139127140
Purchases for treasury-14021410413813314890240
Purchases for cancellation----1,0582002741,588
Common share dividends-----272250245363
Redemptions-------174
Preferred share dividends-----455049
Issuances to non-controlling interests, net of issuance costs-----168281
Purchases of non-controlling interests-----1,385340540
Sales to non-controlling interests----175-661
Dividends paid to non-controlling interests68160198166176261205295
Cash used in financing activities1,762-676-837437-1,189-1,295-1,067-1,563
Increase (decrease) in cash and cash equivalents3,568-3,229-6865307,290-5,330-1,0141,107
Foreign currency translation148-1691274-72-23616-116