NYSE:FNF
Fidelity National Financial, Inc.
- Stock
Last Close
51.92
17/05 20:00
Market Cap
13.60B
Beta: 1.38
Volume Today
1.22M
Avg: 1.65M
PE Ratio
21.45
PFCF: 3.06
Dividend Yield
3.69%
Payout:58.72%
Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 419M - | 519M 23.87% | 561M 8.09% | 692M 23.35% | 794M 14.74% | 635M 20.03% | 1.08B 69.45% | 1.45B 34.94% | 2.44B 68.18% | 1.15B 52.83% | 517M 55.12% | |
depreciation and amortization | 209M - | 476M 127.75% | 410M 13.87% | 431M 5.12% | 389M 9.74% | 182M 53.21% | 178M 2.20% | 296M 66.29% | 645M 117.91% | 496M 23.10% | 593M 19.56% | |
deferred income tax | -17M - | -16M 5.88% | -21M 31.25% | -328M - | -10M 96.95% | -738M 7,280% | -127M - | |||||
stock based compensation | 35M - | 51M 45.71% | 56M 9.80% | 58M 3.57% | 44M 24.14% | 31M 29.55% | 38M 22.58% | 39M 2.63% | 43M 10.26% | 49M 13.95% | 60M 22.45% | |
change in working capital | -176M - | -44M 75% | -106M 140.91% | -29M 72.64% | -232M 700% | -15M 93.53% | 159M 1,160% | -97M 161.01% | 1.89B 2,047.42% | 2.73B 44.57% | 5.12B 87.48% | |
accounts receivables | -22M - | 7M 131.82% | -14M 300% | -11M 21.43% | 15M 236.36% | -36M 340% | -43M 19.44% | -116M 169.77% | 327M 381.90% | 115M 64.83% | ||
inventory | -129M - | -135M 4.65% | -100M 25.93% | -57M 43% | 15M 126.32% | -211M 1,506.67% | -26M 87.68% | -36M 38.46% | 4.60B - | |||
accounts payables | 101M - | -91M 190.10% | -15M 83.52% | 87M 680% | -31M 135.63% | 38M 222.58% | 211M 455.26% | 26M 87.68% | 36M 38.46% | -50M 238.89% | 70M 240% | |
other working capital | -277M - | 198M 171.48% | 37M 81.31% | -2M 105.41% | -133M 6,550% | -68M 48.87% | 195M 386.76% | -54M 127.69% | 2.00B 3,812.96% | 2.45B 22.39% | 334M 86.39% | |
other non cash items | 14M - | -419M 3,092.86% | 17M 104.06% | 10M 41.18% | -258M 2,680% | 110M 142.64% | -2M 101.82% | -102M 5,000% | -191M 87.25% | -73M 61.78% | 738M 1,110.96% | |
net cash provided by operating activities | 484M - | 567M 17.15% | 917M 61.73% | 1.16B 26.72% | 737M 36.57% | 943M 27.95% | 1.12B 18.88% | 1.58B 40.77% | 4.09B 159.19% | 4.36B 6.48% | 6.90B 58.46% | |
investments in property plant and equipment | -145M - | -210M 44.83% | -241M 14.76% | -290M 20.33% | -149M 48.62% | -83M 44.30% | -96M 15.66% | -110M 14.58% | -131M 19.09% | -138M 5.34% | -132M 4.35% | |
acquisitions net | -45M - | -2.36B 5,148.89% | -152M 93.56% | -723M 375.66% | -235M 67.50% | -59M 74.89% | -35M 40.68% | -1.25B 3,457.14% | -1.85B 48.27% | -1.26B 31.91% | -299M 76.21% | |
purchases of investments | -979M - | -1.43B 45.86% | -1.69B 18.63% | -598M 64.70% | -893M 49.33% | -1.50B 67.75% | -1.26B 15.75% | -4.81B 281.46% | -16.01B 232.65% | -15.72B 1.84% | -15.28B 2.79% | |
sales maturities of investments | 1.09B - | 1.24B 13.71% | 1.16B 6.31% | 1.22B 5.27% | 1.08B 11.32% | 1.19B 10.36% | 831M 30.34% | 3.59B 332.25% | 10.06B 180.12% | 6.34B 36.99% | 6.21B 1.97% | |
other investing activites | 22M - | 44M 100% | 358M 713.64% | 138M 61.45% | 101M 26.81% | 93M 7.92% | 42M 54.84% | 246M 485.71% | 480M 95.12% | 250M 47.92% | -16M 106.40% | |
net cash used for investing activites | -60M - | -2.72B 4,433.33% | -571M 79.01% | -254M 55.52% | -95M 62.60% | -354M 272.63% | -520M 46.89% | -2.33B 348.27% | -7.45B 219.56% | -10.52B 41.28% | -9.51B 9.61% | |
debt repayment | -359M - | -1.07B 198.89% | -1.36B 26.65% | -200M 85.28% | -996M 398% | -370M 62.85% | -39M 89.46% | -1B 2,464.10% | -443M 55.70% | -404M 8.80% | -650M 60.89% | |
common stock issued | 511M - | 1.80B 253.03% | 475M 73.67% | 151M 68.21% | 816M 440.40% | 461M 43.50% | 39M 91.54% | 2.31B 5,817.95% | 48M 97.92% | 39M 18.75% | 15M 61.54% | |
common stock repurchased | -34M - | -2M 94.12% | -498M 24,800% | -276M 44.58% | -70M 74.64% | -20M 71.43% | -86M 330% | -236M 174.42% | -463M 96.19% | -553M 19.44% | -60M 89.15% | |
dividends paid | -153M - | -203M 32.68% | -237M 16.75% | -239M 0.84% | -278M 16.32% | -328M 17.99% | -344M 4.88% | -389M 13.08% | -446M 14.65% | -489M 9.64% | -500M 2.25% | |
other financing activites | 375M - | 561M 49.60% | 1.38B 146.17% | -24M 101.74% | -471M 1,862.50% | -185M 60.72% | -52M 71.89% | 1.41B 2,817.31% | 6.30B 346.14% | 5.50B 12.72% | 4.29B 22.06% | |
net cash used provided by financing activities | 340M - | 1.09B 219.71% | -238M 121.90% | -588M 147.06% | -999M 69.90% | -442M 55.76% | -482M 9.05% | 2.10B 534.85% | 5B 138.55% | 4.09B 18.10% | 3.09B 24.47% | |
effect of forex changes on cash | -286M - | |||||||||||
net change in cash | 764M - | -1.07B 239.53% | 108M 110.13% | 320M 196.30% | -357M 211.56% | 147M 141.18% | 119M 19.05% | 1.34B 1,028.57% | 1.64B 22.19% | -2.07B 226.39% | 481M 123.19% | |
cash at beginning of period | 866M - | 1.63B 88.22% | 564M 65.40% | 672M 19.15% | 992M 47.62% | 1.11B 11.90% | 1.26B 13.24% | 1.38B 9.47% | 2.72B 97.60% | 4.36B 60.35% | 2.29B 47.57% | |
cash at end of period | 1.63B - | 564M 65.40% | 672M 19.15% | 992M 47.62% | 635M 35.99% | 1.26B 97.95% | 1.38B 9.47% | 2.72B 97.60% | 4.36B 60.35% | 2.29B 47.57% | 2.77B 21.04% | |
operating cash flow | 484M - | 567M 17.15% | 917M 61.73% | 1.16B 26.72% | 737M 36.57% | 943M 27.95% | 1.12B 18.88% | 1.58B 40.77% | 4.09B 159.19% | 4.36B 6.48% | 6.90B 58.46% | |
capital expenditure | -145M - | -210M 44.83% | -241M 14.76% | -290M 20.33% | -149M 48.62% | -83M 44.30% | -96M 15.66% | -110M 14.58% | -131M 19.09% | -138M 5.34% | -132M 4.35% | |
free cash flow | 339M - | 357M 5.31% | 676M 89.36% | 872M 28.99% | 588M 32.57% | 860M 46.26% | 1.02B 19.19% | 1.47B 43.22% | 3.96B 169.69% | 4.22B 6.52% | 6.77B 60.52% |
All numbers in USD (except ratios and percentages)