CA Stock MarketDetailed Quotes

ELF E-L Financial Corp Ltd

Watchlist
  • 1425.000
  • +18.000+1.28%
15min DelayMarket Closed May 12 16:00 ET
4.93BMarket Cap4.74P/E (TTM)

E-L Financial Corp Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Total investments
4.03%17.18B
11.46%17.77B
11.46%17.77B
20.63%17.43B
10.25%16.57B
11.37%16.51B
12.15%15.94B
12.15%15.94B
5.97%14.45B
9.69%15.03B
-Fixed maturity investments
6.27%8.02B
6.80%7.96B
6.80%7.96B
22.35%7.99B
7.17%7.56B
7.99%7.54B
10.55%7.46B
10.55%7.46B
--6.53B
--7.05B
-Equity investments
1.11%8.47B
15.18%9.09B
15.18%9.09B
20.11%8.75B
13.83%8.36B
16.19%8.38B
15.81%7.89B
15.81%7.89B
-35.70%7.29B
-35.18%7.34B
-Net loan
-4.08%138.38M
-2.78%141.79M
-2.78%141.79M
5.61%154.23M
2.64%158.4M
-10.82%144.26M
-11.04%145.84M
-11.04%145.84M
-36.31%146.04M
-34.78%154.32M
-Derivative assets
345.92%25.55M
7.16%14.82M
7.16%14.82M
-17.70%9.38M
-43.25%7.93M
-12.67%5.73M
41.42%13.83M
41.42%13.83M
--11.39M
--13.98M
Long term equity investment
19.86%521.5M
30.11%558.16M
30.11%558.16M
11.56%521.32M
5.19%483.21M
-4.25%435.09M
-9.31%428.98M
-9.31%428.98M
3.66%467.32M
10.34%459.36M
-Investments in other ventures under equity method
19.86%521.5M
30.11%558.16M
30.11%558.16M
11.56%521.32M
5.19%483.21M
-4.25%435.09M
-9.31%428.98M
-9.31%428.98M
3.66%467.32M
10.34%459.36M
-Short term investments
-24.65%2.44M
-83.05%840K
-83.05%840K
-86.27%672K
-51.35%2.35M
-42.96%3.23M
-45.11%4.96M
-45.11%4.96M
-99.70%4.89M
-99.72%4.84M
Cash and cash equivalents
4.12%330.25M
-15.30%373.41M
-15.30%373.41M
-11.33%329.3M
-20.86%302.54M
12.74%317.19M
45.52%440.86M
45.52%440.86M
-7.40%371.39M
22.23%382.31M
Reinsurance recoverable
6.04%292.1M
5.23%296.07M
5.23%296.07M
-4.35%289.76M
-7.13%278.45M
-11.12%275.45M
-9.25%281.36M
-9.25%281.36M
--302.94M
--299.81M
Receivables
-2.71%4.53M
31.55%984K
31.55%984K
----
-96.87%1.62M
-92.31%4.66M
-98.92%748K
-98.92%748K
-78.67%32.6M
-68.93%51.67M
-Taxes receivable
-2.71%4.53M
31.55%984K
31.55%984K
--0
-96.87%1.62M
-92.31%4.66M
-98.92%748K
-98.92%748K
-61.17%32.6M
-48.85%51.67M
Accrued investment income
-88.28%6.42M
6.00%56.32M
6.00%56.32M
16.22%78.26M
9.64%56.98M
-13.99%54.79M
3.46%53.13M
3.46%53.13M
6.56%67.34M
-34.15%51.97M
Net PPE
-82.15%2.42M
-80.37%2.73M
-80.37%2.73M
-76.54%3.36M
-74.04%3.8M
-4.26%13.53M
-5.21%13.91M
-5.21%13.91M
-5.60%14.32M
-9.93%14.63M
Goodwill and other intangible assets
10.41%94.6M
-3.15%83.74M
-3.15%83.74M
-1.36%85.67M
-2.37%85.73M
0.72%85.69M
1.68%86.46M
1.68%86.46M
3.37%86.85M
3.87%87.81M
-Goodwill
0.14%24.99M
0.14%24.99M
0.14%24.99M
2.13%24.99M
2.13%24.99M
1.98%24.95M
1.98%24.95M
1.98%24.95M
1.10%24.47M
0.14%24.47M
-Other intangible assets
14.62%69.62M
-4.49%58.75M
-4.49%58.75M
-2.72%60.68M
-4.11%60.75M
0.22%60.74M
1.55%61.51M
1.55%61.51M
4.30%62.38M
5.38%63.35M
Defined pension benefit
----
35.56%26.17M
35.56%26.17M
----
----
----
18.58%19.3M
18.58%19.3M
----
----
Separate account assets
3.06%9.27B
6.59%9.39B
6.59%9.39B
11.67%9.33B
2.29%8.86B
3.05%8.99B
2.88%8.81B
2.88%8.81B
2.62%8.36B
5.25%8.67B
Deferred tax assets
-1.30%95.58M
3.17%92.28M
3.17%92.28M
-12.04%93.68M
-3.79%95.13M
3.79%96.83M
-0.20%89.44M
-0.20%89.44M
470.88%106.51M
457.35%98.87M
Other assets
39.77%134.33M
20.55%27.62M
20.55%27.62M
64.50%65.18M
5.79%62.08M
27.01%96.11M
-21.69%22.91M
-21.69%22.91M
-7.08%39.62M
58.10%58.68M
Total assets
3.62%27.4B
9.16%28.12B
9.16%28.12B
16.28%27.7B
6.38%26.32B
7.80%26.45B
8.48%25.76B
8.48%25.76B
5.63%23.82B
9.24%24.74B
Liabilities
Policy holders liabilities reserve
5.63%6.91B
2.39%6.87B
2.39%6.87B
14.37%6.81B
1.64%6.55B
-56.59%6.54B
9.16%6.71B
9.16%6.71B
3.02%5.96B
12.03%6.45B
Short term debt and capital lease obligation
----
--0
--0
--0
--0
--0
-20.00%40M
-20.00%40M
--0
--0
-Current debt
----
--0
--0
--0
--0
--0
-20.00%40M
-20.00%40M
--0
--0
Payables
0.00%16.87M
37.94%166.49M
37.94%166.49M
-74.84%16.87M
-75.90%16.87M
-77.28%16.87M
-0.01%120.69M
-0.01%120.69M
-70.60%67.06M
-62.48%70M
-Accounts payable
----
-1.54%82.59M
-1.54%82.59M
----
----
----
-22.27%83.88M
-22.27%83.88M
-77.61%48.2M
-69.58%52.79M
-Total tax payable
----
236.20%67.03M
236.20%67.03M
----
----
----
--19.94M
--19.94M
--1.65M
----
-Dividends payable
0.00%16.87M
0.00%16.87M
0.00%16.87M
-1.98%16.87M
-1.98%16.87M
-2.08%16.87M
32.00%16.87M
32.00%16.87M
34.66%17.21M
31.93%17.21M
Long term debt and capital lease obligation
-14.38%598.95M
-13.63%598.87M
-13.63%598.87M
0.14%598.78M
0.14%598.58M
10.60%699.57M
6.20%693.37M
6.20%693.37M
-14.91%597.96M
-0.80%597.75M
-Long term debt
-14.38%598.95M
-13.63%598.87M
-13.63%598.87M
0.14%598.78M
0.14%598.58M
10.60%699.57M
6.20%693.37M
6.20%693.37M
-14.91%597.96M
-0.80%597.75M
Separate account liability
3.06%9.27B
6.59%9.39B
6.59%9.39B
11.67%9.33B
2.29%8.86B
--8.99B
2.88%8.81B
2.88%8.81B
2.62%8.36B
5.25%8.67B
Non current deferred liabilities
9.07%470.95M
49.09%524.16M
49.09%524.16M
64.36%484.68M
40.29%443.01M
48.02%431.81M
42.08%351.57M
42.08%351.57M
23.39%294.9M
31.77%315.78M
Other liabilities
5.28%941.04M
7.54%828.59M
7.54%828.59M
42.28%1.03B
31.53%928.38M
22.20%893.88M
34.49%770.46M
34.49%770.46M
256.13%721.07M
167.02%705.81M
Total liabilities
3.57%18.2B
5.05%18.38B
5.05%18.38B
14.23%18.27B
3.58%17.4B
4.65%17.57B
6.98%17.5B
6.98%17.5B
4.39%15.99B
9.78%16.8B
Shareholders'equity
Share capital
0.00%362.35M
0.00%362.35M
0.00%362.35M
-0.45%362.35M
-0.45%362.35M
-0.47%362.35M
-0.47%362.35M
-0.47%362.35M
-0.02%363.98M
-0.54%363.98M
-common stock
0.00%62.35M
0.00%62.35M
0.00%62.35M
-2.55%62.35M
-2.55%62.35M
-2.68%62.35M
-2.68%62.35M
-2.68%62.35M
-0.13%63.98M
-3.01%63.98M
-Preferred stock
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
Retained earnings
4.24%7.57B
19.14%8.02B
19.14%8.02B
22.47%7.75B
13.53%7.27B
16.38%7.26B
13.10%6.73B
13.10%6.73B
6.09%6.33B
6.20%6.4B
Gains losses not affecting retained earnings
30.39%39.17M
61.24%36.7M
61.24%36.7M
97.15%31.37M
40.07%31.73M
12.39%30.04M
-6.14%22.76M
-6.14%22.76M
113.49%15.91M
116.98%22.65M
Other equity interest
10.15%53.69M
15.14%53.15M
15.14%53.15M
118.07%56.27M
76.79%50.82M
88.62%48.74M
91.88%46.16M
91.88%46.16M
-53.17%25.81M
-47.45%28.75M
Total stockholders equity
4.18%8.02B
18.28%8.47B
18.28%8.47B
21.77%8.2B
13.14%7.71B
15.72%7.7B
12.54%7.16B
12.54%7.16B
7.47%6.73B
7.95%6.82B
Noncontrolling interests
0.58%1.18B
15.16%1.27B
15.16%1.27B
12.52%1.24B
7.32%1.2B
7.83%1.18B
7.01%1.1B
7.01%1.1B
13.43%1.1B
9.10%1.12B
Total equity
3.70%9.2B
17.87%9.74B
17.87%9.74B
20.47%9.43B
12.32%8.92B
14.61%8.88B
11.77%8.26B
11.77%8.26B
8.27%7.83B
8.11%7.94B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Total investments 4.03%17.18B11.46%17.77B11.46%17.77B20.63%17.43B10.25%16.57B11.37%16.51B12.15%15.94B12.15%15.94B5.97%14.45B9.69%15.03B
-Fixed maturity investments 6.27%8.02B6.80%7.96B6.80%7.96B22.35%7.99B7.17%7.56B7.99%7.54B10.55%7.46B10.55%7.46B--6.53B--7.05B
-Equity investments 1.11%8.47B15.18%9.09B15.18%9.09B20.11%8.75B13.83%8.36B16.19%8.38B15.81%7.89B15.81%7.89B-35.70%7.29B-35.18%7.34B
-Net loan -4.08%138.38M-2.78%141.79M-2.78%141.79M5.61%154.23M2.64%158.4M-10.82%144.26M-11.04%145.84M-11.04%145.84M-36.31%146.04M-34.78%154.32M
-Derivative assets 345.92%25.55M7.16%14.82M7.16%14.82M-17.70%9.38M-43.25%7.93M-12.67%5.73M41.42%13.83M41.42%13.83M--11.39M--13.98M
Long term equity investment 19.86%521.5M30.11%558.16M30.11%558.16M11.56%521.32M5.19%483.21M-4.25%435.09M-9.31%428.98M-9.31%428.98M3.66%467.32M10.34%459.36M
-Investments in other ventures under equity method 19.86%521.5M30.11%558.16M30.11%558.16M11.56%521.32M5.19%483.21M-4.25%435.09M-9.31%428.98M-9.31%428.98M3.66%467.32M10.34%459.36M
-Short term investments -24.65%2.44M-83.05%840K-83.05%840K-86.27%672K-51.35%2.35M-42.96%3.23M-45.11%4.96M-45.11%4.96M-99.70%4.89M-99.72%4.84M
Cash and cash equivalents 4.12%330.25M-15.30%373.41M-15.30%373.41M-11.33%329.3M-20.86%302.54M12.74%317.19M45.52%440.86M45.52%440.86M-7.40%371.39M22.23%382.31M
Reinsurance recoverable 6.04%292.1M5.23%296.07M5.23%296.07M-4.35%289.76M-7.13%278.45M-11.12%275.45M-9.25%281.36M-9.25%281.36M--302.94M--299.81M
Receivables -2.71%4.53M31.55%984K31.55%984K-----96.87%1.62M-92.31%4.66M-98.92%748K-98.92%748K-78.67%32.6M-68.93%51.67M
-Taxes receivable -2.71%4.53M31.55%984K31.55%984K--0-96.87%1.62M-92.31%4.66M-98.92%748K-98.92%748K-61.17%32.6M-48.85%51.67M
Accrued investment income -88.28%6.42M6.00%56.32M6.00%56.32M16.22%78.26M9.64%56.98M-13.99%54.79M3.46%53.13M3.46%53.13M6.56%67.34M-34.15%51.97M
Net PPE -82.15%2.42M-80.37%2.73M-80.37%2.73M-76.54%3.36M-74.04%3.8M-4.26%13.53M-5.21%13.91M-5.21%13.91M-5.60%14.32M-9.93%14.63M
Goodwill and other intangible assets 10.41%94.6M-3.15%83.74M-3.15%83.74M-1.36%85.67M-2.37%85.73M0.72%85.69M1.68%86.46M1.68%86.46M3.37%86.85M3.87%87.81M
-Goodwill 0.14%24.99M0.14%24.99M0.14%24.99M2.13%24.99M2.13%24.99M1.98%24.95M1.98%24.95M1.98%24.95M1.10%24.47M0.14%24.47M
-Other intangible assets 14.62%69.62M-4.49%58.75M-4.49%58.75M-2.72%60.68M-4.11%60.75M0.22%60.74M1.55%61.51M1.55%61.51M4.30%62.38M5.38%63.35M
Defined pension benefit ----35.56%26.17M35.56%26.17M------------18.58%19.3M18.58%19.3M--------
Separate account assets 3.06%9.27B6.59%9.39B6.59%9.39B11.67%9.33B2.29%8.86B3.05%8.99B2.88%8.81B2.88%8.81B2.62%8.36B5.25%8.67B
Deferred tax assets -1.30%95.58M3.17%92.28M3.17%92.28M-12.04%93.68M-3.79%95.13M3.79%96.83M-0.20%89.44M-0.20%89.44M470.88%106.51M457.35%98.87M
Other assets 39.77%134.33M20.55%27.62M20.55%27.62M64.50%65.18M5.79%62.08M27.01%96.11M-21.69%22.91M-21.69%22.91M-7.08%39.62M58.10%58.68M
Total assets 3.62%27.4B9.16%28.12B9.16%28.12B16.28%27.7B6.38%26.32B7.80%26.45B8.48%25.76B8.48%25.76B5.63%23.82B9.24%24.74B
Liabilities
Policy holders liabilities reserve 5.63%6.91B2.39%6.87B2.39%6.87B14.37%6.81B1.64%6.55B-56.59%6.54B9.16%6.71B9.16%6.71B3.02%5.96B12.03%6.45B
Short term debt and capital lease obligation ------0--0--0--0--0-20.00%40M-20.00%40M--0--0
-Current debt ------0--0--0--0--0-20.00%40M-20.00%40M--0--0
Payables 0.00%16.87M37.94%166.49M37.94%166.49M-74.84%16.87M-75.90%16.87M-77.28%16.87M-0.01%120.69M-0.01%120.69M-70.60%67.06M-62.48%70M
-Accounts payable -----1.54%82.59M-1.54%82.59M-------------22.27%83.88M-22.27%83.88M-77.61%48.2M-69.58%52.79M
-Total tax payable ----236.20%67.03M236.20%67.03M--------------19.94M--19.94M--1.65M----
-Dividends payable 0.00%16.87M0.00%16.87M0.00%16.87M-1.98%16.87M-1.98%16.87M-2.08%16.87M32.00%16.87M32.00%16.87M34.66%17.21M31.93%17.21M
Long term debt and capital lease obligation -14.38%598.95M-13.63%598.87M-13.63%598.87M0.14%598.78M0.14%598.58M10.60%699.57M6.20%693.37M6.20%693.37M-14.91%597.96M-0.80%597.75M
-Long term debt -14.38%598.95M-13.63%598.87M-13.63%598.87M0.14%598.78M0.14%598.58M10.60%699.57M6.20%693.37M6.20%693.37M-14.91%597.96M-0.80%597.75M
Separate account liability 3.06%9.27B6.59%9.39B6.59%9.39B11.67%9.33B2.29%8.86B--8.99B2.88%8.81B2.88%8.81B2.62%8.36B5.25%8.67B
Non current deferred liabilities 9.07%470.95M49.09%524.16M49.09%524.16M64.36%484.68M40.29%443.01M48.02%431.81M42.08%351.57M42.08%351.57M23.39%294.9M31.77%315.78M
Other liabilities 5.28%941.04M7.54%828.59M7.54%828.59M42.28%1.03B31.53%928.38M22.20%893.88M34.49%770.46M34.49%770.46M256.13%721.07M167.02%705.81M
Total liabilities 3.57%18.2B5.05%18.38B5.05%18.38B14.23%18.27B3.58%17.4B4.65%17.57B6.98%17.5B6.98%17.5B4.39%15.99B9.78%16.8B
Shareholders'equity
Share capital 0.00%362.35M0.00%362.35M0.00%362.35M-0.45%362.35M-0.45%362.35M-0.47%362.35M-0.47%362.35M-0.47%362.35M-0.02%363.98M-0.54%363.98M
-common stock 0.00%62.35M0.00%62.35M0.00%62.35M-2.55%62.35M-2.55%62.35M-2.68%62.35M-2.68%62.35M-2.68%62.35M-0.13%63.98M-3.01%63.98M
-Preferred stock 0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M
Retained earnings 4.24%7.57B19.14%8.02B19.14%8.02B22.47%7.75B13.53%7.27B16.38%7.26B13.10%6.73B13.10%6.73B6.09%6.33B6.20%6.4B
Gains losses not affecting retained earnings 30.39%39.17M61.24%36.7M61.24%36.7M97.15%31.37M40.07%31.73M12.39%30.04M-6.14%22.76M-6.14%22.76M113.49%15.91M116.98%22.65M
Other equity interest 10.15%53.69M15.14%53.15M15.14%53.15M118.07%56.27M76.79%50.82M88.62%48.74M91.88%46.16M91.88%46.16M-53.17%25.81M-47.45%28.75M
Total stockholders equity 4.18%8.02B18.28%8.47B18.28%8.47B21.77%8.2B13.14%7.71B15.72%7.7B12.54%7.16B12.54%7.16B7.47%6.73B7.95%6.82B
Noncontrolling interests 0.58%1.18B15.16%1.27B15.16%1.27B12.52%1.24B7.32%1.2B7.83%1.18B7.01%1.1B7.01%1.1B13.43%1.1B9.10%1.12B
Total equity 3.70%9.2B17.87%9.74B17.87%9.74B20.47%9.43B12.32%8.92B14.61%8.88B11.77%8.26B11.77%8.26B8.27%7.83B8.11%7.94B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Berkshire 2025 highlights: Stepping aside as CEO, trade and market volatility
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