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NYSE:FAF

First American

  • Stock

USD

Last Close

60.82

06/11 21:10

Market Cap

5.52B

Beta: 1.28

Volume Today

476.72K

Avg: 732.64K

PE Ratio

25.95

PFCF: 16.58

Dividend Yield

3.56%

Payout:90.87%

Preview

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Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
288.87M
-
343.48M
18.90%
421.86M
22.82%
475.90M
12.81%
709.85M
49.16%
700.50M
1.32%
1.25B
78.30%
265M
78.78%
216.80M
18.19%
depreciation and amortization
85.60M
-
99.05M
15.71%
128.05M
29.29%
125.93M
1.66%
129.02M
2.46%
148.98M
15.47%
158M
6.06%
167M
5.70%
188.50M
12.87%
deferred income tax
27.23M
-
3.71M
86.38%
27.27M
635.77%
85.67M
214.11%
-36.83M
142.99%
-9.67M
73.74%
-384M
3,871.04%
200.10M
-
stock based compensation
24.34M
-
34.13M
40.21%
37.40M
9.59%
41.15M
10.02%
42.47M
3.23%
50.71M
19.39%
54M
6.49%
67M
24.07%
49.10M
26.72%
change in working capital
87.26M
-
-221K
100.25%
47.53M
21,605.88%
65.39M
37.58%
45.05M
31.10%
125.14M
177.78%
73M
41.67%
-341M
567.12%
-271.90M
20.26%
accounts receivables
-7.48M
-
-10.02M
33.97%
12.43M
224.05%
5.26M
57.64%
-27.24M
617.48%
-52.87M
94.09%
-48M
9.21%
83M
272.92%
-159.10M
291.69%
inventory
-18.31M
-
-77.17M
321.46%
-67M
13.17%
accounts payables
36.68M
-
-29.34M
179.99%
127.68M
535.20%
15.30M
88.01%
45.55M
197.65%
130.04M
185.49%
115M
11.56%
-51.90M
-
other working capital
58.06M
-
39.13M
32.60%
-92.58M
336.57%
44.82M
148.41%
45.05M
0.52%
125.14M
177.78%
73M
41.67%
-424M
680.82%
-60.90M
85.64%
other non cash items
38.03M
-
9.28M
75.59%
-29.98M
423.03%
-865K
97.12%
23.53M
2,819.77%
69.00M
193.31%
70M
1.44%
622M
788.57%
-28.30M
104.55%
net cash provided by operating activities
551.32M
-
489.42M
11.23%
632.13M
29.16%
793.16M
25.47%
913.09M
15.12%
1.08B
18.79%
1.22B
12.48%
780M
36.07%
354.30M
54.58%
investments in property plant and equipment
-123.70M
-
-132.26M
6.93%
-134.21M
1.47%
-118.17M
11.95%
-106.98M
9.47%
-114.08M
6.64%
-161M
41.12%
-260M
61.49%
-263.40M
1.31%
acquisitions net
-26.68M
-
-106.72M
299.97%
-82.99M
22.23%
-79.17M
4.61%
-120.67M
52.42%
-461.60M
282.52%
-187M
59.49%
-278M
48.66%
-24.70M
91.12%
purchases of investments
-2.12B
-
-2.06B
2.88%
-1.97B
4.47%
-3.16B
60.25%
-2.34B
25.87%
-2.87B
22.73%
-6.35B
120.96%
-3.14B
50.47%
-1.47B
53.24%
sales maturities of investments
1.29B
-
1.68B
30.66%
1.81B
7.57%
2.14B
18.03%
2.33B
9.32%
2.48B
6.23%
3.11B
25.30%
3.17B
1.87%
2.56B
19.11%
other investing activites
12.71M
-
9.93M
21.84%
-8.34M
183.99%
-558K
93.31%
-217.85M
38,940.86%
-446.17M
104.81%
196M
143.93%
122M
37.76%
-202.50M
265.98%
net cash used for investing activites
-974.42M
-
-610.15M
37.38%
-387.17M
36.55%
-1.22B
215.27%
-452.23M
62.95%
-1.42B
212.92%
-3.39B
139.76%
-395M
88.36%
599.50M
251.77%
debt repayment
-5.24M
-
-5.17M
1.39%
-5.54M
7.19%
-2.38B
42,831.99%
-7.96B
234.29%
-15.49B
94.73%
-24.60B
58.81%
-15.70B
36.17%
-13.45B
14.32%
common stock issued
161.10M
-
2.38B
-
8.15B
242.91%
16.00B
96.37%
25.25B
57.76%
2M
99.99%
13.38B
669,105%
common stock repurchased
-454K
-
-18.80M
-
-2.07M
89.01%
-138.60M
6,608.76%
-99M
28.57%
-441M
345.45%
-72.70M
83.51%
dividends paid
-108.52M
-
-131.54M
21.21%
-159.28M
21.09%
-178.49M
12.06%
-188.44M
5.58%
-198.66M
5.43%
-213M
7.22%
-217M
1.88%
-216.60M
0.18%
other financing activites
380.13M
-
82.85M
78.20%
292.85M
253.48%
714.87M
144.11%
-449.91M
162.94%
-63.13M
85.97%
1.79B
2,932.03%
15.98B
793.85%
1.78B
88.85%
net cash used provided by financing activities
266.36M
-
106.79M
59.91%
128.02M
19.89%
514.74M
302.06%
-445.07M
186.47%
113.92M
125.60%
2.13B
1,766.16%
-376M
117.69%
1.42B
478.48%
effect of forex changes on cash
-6.02M
-
-7.24M
20.19%
8.10M
211.88%
-7.37M
191.05%
3.04M
141.26%
6.07M
99.44%
-400K
106.59%
-13M
3,150%
4.90M
137.69%
net change in cash
-162.76M
-
-21.18M
86.99%
381.09M
1,899.03%
79.90M
79.03%
18.83M
76.43%
-210.49M
1,217.86%
-47M
77.67%
-4M
91.49%
2.38B
59,632.50%
cash at beginning of period
1.19B
-
1.03B
13.68%
1.01B
2.06%
1.39B
37.88%
1.47B
5.76%
1.49B
1.28%
1.27B
14.20%
1.23B
3.69%
1.22B
0.33%
cash at end of period
1.03B
-
1.01B
2.06%
1.39B
37.88%
1.47B
5.76%
1.49B
1.28%
1.28B
14.17%
1.23B
3.72%
1.22B
0.33%
3.61B
194.55%
operating cash flow
551.32M
-
489.42M
11.23%
632.13M
29.16%
793.16M
25.47%
913.09M
15.12%
1.08B
18.79%
1.22B
12.48%
780M
36.07%
354.30M
54.58%
capital expenditure
-123.70M
-
-132.26M
6.93%
-134.21M
1.47%
-118.17M
11.95%
-106.98M
9.47%
-114.08M
6.64%
-161M
41.12%
-260M
61.49%
-263.40M
1.31%
free cash flow
427.63M
-
357.15M
16.48%
497.93M
39.42%
675.00M
35.56%
806.11M
19.42%
970.58M
20.40%
1.06B
9.11%
520M
50.90%
90.90M
82.52%

All numbers in USD (except ratios and percentages)