E-L Financial Corporation Limited

TSX:ELF.TO

14.77 (CAD) • At close July 30, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) CAD.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operating Activities:
Net Income 1,751.4371,095.09-327.3131,281.992603.512861.68257.001753.074351.946685.087490.8521,060.472482.515-37.308144.693-184.535-126.963210.688372.52293.703129.88646.8751.51277.4873.38952.657.2166.457.843.635.741.6
Depreciation & Amortization 09.11638.13214.41212.27411.0323.14221.70618.65916.87416.73316.82543.5190000000000-79.39600000000
Deferred Income Tax 166.518104.938-98.37439.51260.61471.597-73.40636.3732.83653.88433.96277.93927.417-8.73826.291-90.844-18.946-26.97211.86619.977-23.189-40.316-1.69229.429-16.142-23.913.6-40.8-20.46.65.30
Stock Based Compensation 00.3190.2150.3980.4270.30500000000000000000000000000
Change In Working Capital 252.11783.974-1,617.929-140.203763.288779.417-45.55498.366193.539131.367728.38-151.365405.93728.115-78.001-8.588-7.9850000623.258-150.95244.078144.78140.8-8214651.2232-75.417.8
Accounts Receivables 000000000000000000000-85.442-24.836-30.2400000000
Inventory 00000000000000000000000000000000
Accounts Payables 000000000000000000000397.071-50.6452.27972.3970.4-417325.6116-37.78.9
Other Working Capital 252.11783.974-1,617.929-140.203763.288779.417-45.55498.366193.539131.367728.38-151.365405.93700000000311.629-75.47622.03972.3970.4-417325.6116-37.78.9
Other Non Cash Items -1,710.526-557.432,441.447-848.007-1,111.04-1,307.504449.547-58.275-26.732-103.656-84.814-31.403-151.411344.275198.128704.303417.835.733-129.1694.878208.084-370.666197.698-38.344-232.583-96.3-31-138.932-153.89.7-73.4
Operating Cash Flow 459.546736.007397.831348.104329.075416.527387.592346.802340.068202.915186.483275.693423.342326.344291.111420.336263.936189.449255.217318.558314.781259.14696.566-26.396-30.55673.2-42.2132.7120.6128.4-24.7-14
Investing Activities:
Investments In Property Plant And Equipment -7.4220-16.88-3.685-7.861-12.6820-8.1880-10.2260-114.4900000000000000000000
Acquisitions Net -62.026-4.7616.883.6857.86112.682000001,071.45100000000000000000000
Purchases Of Investments -3,163.977-3,807.989-4,062.166-5,465.502-3,080.098-3,520.579-3,124.413-4,128.685-2,881.023-2,620.692-2,194.451-3,191.053-2,407.123-2,669.559-2,365.805-2,380.001-1,712.418-2,513.969-2,260.197-1,356.5-1,169.828-1,320.48-1,067.867-1,313.618-1,430.568-810.2-862.2-756.1-534.1-579.4-290.5-584.5
Sales Maturities Of Investments 3,130.3173,404.2893,618.3665,617.6333,107.733,168.4113,109.353,473.8582,382.6432,654.8892,248.9821,965.0472,089.1232,291.8062,112.5981,782.9211,450.2132,460.8421,835.51,113.45825.9261,100.31973.0421,356.3981,146.859831.3916.7816.6414.3418.3415525.8
Other Investing Activites 18.86721.9056.56350.77812.4866.7146.461-0.238-10.979-10.2265.196-3.345-26.069-26-13.8-11.064-10.3120.42-12.157-26.751.3543.565-4.724-35.238239.766-22.4-12-74.9-4.1-3.9-4.65.2
Investing Cash Flow -103.108-386.555-437.237202.90940.118-345.454-8.602-655.065-509.35923.97159.727-272.39-344.069-403.753-267.007-608.144-272.517-52.707-436.854-269.8-342.548-216.605-99.5497.542-43.943-1.342.5-14.4-123.9-165119.9-53.5
Financing Activities:
Debt Repayment -135.20129.501100-200137.826-25-310299.3199.1240-200298.255000174.02324.8380000000000-21.9-618.2-8.9-10.4
Common Stock Issued 000001.40600000000000096.961096.4400000000000
Common Stock Repurchased 0-99.435-135.459-6.607-202.813-1.406-2.898-3.079-3.796-199.949000000000000000000-11.8000
Dividends Paid -275.179-64.425-144.36-340.017-133.364-35.647-35.647-35.647-31.125-17.56-17.56-319.016-15.032-15.276-12.06-12.06-12.06-12.06-8.497-7.236-31.269-1.92-1.92-1.92-1.92-1.9-1.9-1.9-1.9-1.9-1.9-1.9
Other Financing Activities -39.795-77.178-111.417203.955-46.17-39.899-36.876-33.228260.377-19.642-31.588-31.3283.986-3.2160.500000122.06700000044.6-0.10-0.1-9
Financing Cash Flow -450.175-211.537-293.749-319.122-244.521-100.546-385.421227.346282.651-237.151-249.148-52.08168.954-15.276-11.56161.96312.778-12.0688.464-7.23690.798-1.92-1.92-1.92-1.92-1.9-1.920.8-19.816.3-10.9-21.3
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000000000.1-0.10.10
Net Change In Cash -67.448137.915-333.155208.344124.672-29.473-6.431-80.917113.36-10.265-2.938-48.778148.227-92.68512.544-25.8454.197124.682-93.17341.52263.03140.621-4.903-20.774-76.41970-1.6139.1-23-20.484.4-88.8
Cash At End Of Period 373.413440.861302.946636.101427.757303.085332.558338.989419.906306.546316.811319.749368.527220.3312.166299.622325.467321.27196.351295.377246.926183.895143.274167.842188.616265253.9255.5116.4139.4159.883.3