av/igm-financial--big.svg

COM:IGMFINANCIAL

IGM Financial

  • Stock

CAD

Last Close

47.19

22/11 21:00

Market Cap

9.00B

Beta: -

Volume Today

349.91K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
981.38M
-
964.96M
1.67%
990.79M
2.68%
946.94M
4.43%
784.65M
17.14%
986.09M
25.67%
968.67M
1.77%
965.38M
0.34%
1.27B
31.31%
1.12B
11.42%
925.91M
17.55%
depreciation and amortization
32.25M
-
34.16M
5.91%
39.27M
14.97%
43.01M
9.51%
55.77M
29.67%
56.06M
0.53%
79.50M
41.79%
83.50M
5.03%
99.82M
19.55%
103.99M
4.18%
90.54M
12.93%
deferred income tax
-30.40M
-
-23.60M
22.37%
-39.70M
68.22%
-30.70M
22.67%
stock based compensation
30.40M
-
23.60M
22.37%
39.70M
68.22%
30.70M
22.67%
change in working capital
-102.02M
-
-65.74M
35.56%
-209.71M
218.98%
-41.21M
80.35%
23.10M
156.07%
51.63M
123.45%
9.32M
81.95%
26.77M
187.38%
-38.34M
243.22%
-3.68M
90.40%
37.14M
1,109.32%
accounts receivables
inventory
accounts payables
other working capital
9.32M
-
26.77M
187.38%
-38.34M
243.22%
-3.68M
90.40%
37.14M
1,109.32%
other non cash items
-196.35M
-
-192.44M
1.99%
-198.59M
3.20%
-212.09M
6.79%
-205.95M
2.89%
-308.63M
49.85%
-345.41M
11.92%
-339.02M
1.85%
-385.54M
13.72%
-485.59M
25.95%
-216.32M
55.45%
net cash provided by operating activities
715.26M
-
740.94M
3.59%
621.76M
16.08%
736.65M
18.48%
657.57M
10.73%
785.15M
19.40%
712.07M
9.31%
736.63M
3.45%
943.59M
28.10%
737.67M
21.82%
837.28M
13.50%
investments in property plant and equipment
-53M
-
-56.73M
7.04%
-112.94M
99.08%
-106.81M
5.43%
-50.18M
53.02%
-56.27M
12.14%
-82.93M
47.40%
-107.80M
29.98%
-85.92M
20.30%
-144.78M
68.51%
-153.78M
6.21%
acquisitions net
-49.67M
-
-38.72M
22.05%
-76.13M
96.61%
-192.99M
153.49%
-439.34M
127.65%
49.15M
111.19%
13.60M
72.34%
-111.76M
921.93%
-75.28M
32.64%
-1.47B
-
purchases of investments
-77.92M
-
-87.19M
11.90%
-127.95M
46.74%
-231.32M
80.80%
-181.57M
21.51%
-154.46M
14.93%
-118.92M
23.01%
-32.65M
72.54%
-131.78M
303.60%
-150.51M
14.21%
-2.11B
1,299.79%
sales maturities of investments
296.07M
-
71.66M
75.80%
167.45M
133.65%
80.34M
52.02%
62.20M
22.58%
93.50M
50.33%
85.46M
8.59%
38.84M
54.55%
348.21M
796.51%
120.07M
65.52%
633.49M
427.60%
other investing activites
-923.94M
-
-1.12B
21.37%
-284.74M
74.61%
-582.89M
104.71%
136.59M
123.43%
98.11M
28.17%
529.42M
439.61%
886.75M
67.49%
1.04B
17.72%
309.93M
70.31%
1.93B
523.60%
net cash used for investing activites
-808.46M
-
-1.23B
52.43%
-434.32M
64.76%
-1.03B
138.00%
-472.30M
54.31%
30.03M
106.36%
426.63M
1,320.69%
673.38M
57.84%
1.10B
63.22%
134.71M
87.74%
-1.16B
962.42%
debt repayment
-872.53M
-
-1.18B
35.77%
-335.98M
71.64%
-631.13M
87.85%
-2.56B
-
-1.98B
22.48%
-2.39B
20.23%
-2.47B
3.37%
-1.65B
32.98%
-39.04M
97.64%
common stock issued
59.78M
-
34.02M
43.10%
14.23M
58.16%
3.38M
76.28%
5.07M
50.21%
7.75M
52.89%
4.85M
37.50%
498K
89.72%
55.90M
11,125.70%
42.55M
23.88%
16.88M
60.34%
common stock repurchased
-62.82M
-
-79.50M
26.56%
-288.37M
262.73%
-155.67M
46.02%
1.97B
-
-249.96M
112.68%
1.57B
727.50%
1.43B
8.90%
-115.67M
108.10%
-24.14M
79.13%
dividends paid
-550.73M
-
-551.10M
0.07%
-569.00M
3.25%
-553.30M
2.76%
-550.13M
0.57%
-550.61M
0.09%
-543.47M
1.30%
-536.19M
1.34%
-537.03M
0.16%
-537.20M
0.03%
-535.44M
0.33%
other financing activites
1.54B
-
2.41B
55.96%
758.71M
68.47%
1.26B
66.31%
715.60M
43.29%
-1.25M
100.17%
1.70B
136,621.88%
-5.83M
100.34%
-3.86M
33.80%
1.17B
30,425.43%
377.98M
67.72%
net cash used provided by financing activities
116.54M
-
624.97M
436.25%
-420.40M
167.27%
-74.95M
82.17%
170.54M
327.52%
-1.13B
763.66%
-1.07B
5.56%
-1.36B
27.08%
-1.52B
12.03%
-1.09B
28.25%
-203.77M
81.34%
effect of forex changes on cash
net change in cash
23.35M
-
133.54M
471.99%
-232.96M
274.45%
-371.97M
59.67%
355.81M
195.66%
-316.62M
188.98%
69.78M
122.04%
51.58M
26.08%
520.86M
909.81%
-219.55M
142.15%
-528.26M
140.61%
cash at beginning of period
1.06B
-
1.08B
2.20%
1.22B
12.34%
983.00M
19.16%
611.03M
37.84%
966.84M
58.23%
650.23M
32.75%
720.00M
10.73%
771.59M
7.16%
1.29B
67.51%
1.07B
16.99%
cash at end of period
1.08B
-
1.22B
12.34%
983.02M
19.16%
611.03M
37.84%
966.84M
58.23%
650.23M
32.75%
720.00M
10.73%
771.59M
7.16%
1.29B
67.51%
1.07B
16.99%
544.63M
49.24%
operating cash flow
715.26M
-
740.94M
3.59%
621.76M
16.08%
736.65M
18.48%
657.57M
10.73%
785.15M
19.40%
712.07M
9.31%
736.63M
3.45%
943.59M
28.10%
737.67M
21.82%
837.28M
13.50%
capital expenditure
-53M
-
-56.73M
7.04%
-112.94M
99.08%
-106.81M
5.43%
-50.18M
53.02%
-56.27M
12.14%
-82.93M
47.40%
-107.80M
29.98%
-85.92M
20.30%
-144.78M
68.51%
-153.78M
6.21%
free cash flow
662.26M
-
684.21M
3.31%
508.82M
25.63%
629.84M
23.79%
607.40M
3.56%
728.89M
20.00%
629.13M
13.69%
628.83M
0.05%
857.67M
36.39%
592.89M
30.87%
683.50M
15.28%

All numbers in CAD (except ratios and percentages)