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Change in funds
withheld from reinsurers
$3,277M
Change in future policy
benefits
$1,710M
Depreciation and
amortization
$844M
Contractholder account
deposits
$11,575M
Net earnings
$679M
Net change in income
taxes
$481M
Change in derivative
collateral liability, net
$249M
Loss (gain) on sales
of investments and...
-$215M
Interest credited/index
credits to...
$202M
Distributions from
unconsolidated affiliates,...
$196M
Change in market risk
benefits, net
-$167M
Non-cash lease costs
$131M
Stock-based compensation
cost
$88M
Debt offering
$375M
Net change in
secured trust deposits
-$180M
F&g equity offering
$117M
Borrowings
$10M
Exercise of stock options
$4M
Net cash provided by
(used in) operating...
$5,828M
Net cash provided by
financing activities
$2,263M
Canceled cashflow
$2,411M
Canceled cashflow
$9,998M
Net (decrease)
increase in cash and cash...
-$843M
Canceled cashflow
$8,091M
Proceeds from sales,
calls and maturities...
$14,985M
Net proceeds from
(purchases of) sales and...
-$1,298M
Distributions from
unconsolidated affiliates,...
$694M
Net other investing
activities
-$5M
Deferred policy
acquisition costs and...
$1,286M
Change in nav of limited
partnerships, net
$349M
Charges assessed to
contractholders for mortality...
$330M
Change in valuation of
derivatives, equity and...
$160M
Operating lease payments
$136M
Net change in other
assets and other...
$88M
Equity in earnings of
unconsolidated affiliates
$35M
Net (increase)
decrease in trade...
$14M
Net decrease in
reserve for title claim...
-$12M
Change in reinsurance
recoverable
$1M
Contractholder account
withdrawals
$8,763M
Dividends paid
$546M
Debt service
payments
$300M
Purchases of treasury
stock
$251M
Subsidiary dividends paid
to...
$62M
Payment for shares
withheld for taxes on...
$27M
Payment of contingent
consideration for prior period...
$27M
Purchase of additional
share in consolidated...
$11M
Debt costs/equity
issuance additions
$11M
Net cash used in
investing activities
-$8,934M
Canceled cashflow
$16,982M
Purchases of investment
securities
$23,198M
Additional investments in
unconsolidated affiliates
$2,493M
Additions to property and
equipment and capitalized...
$147M
Other
acquisitions/disposals, net of cash...
$62M
Fundings of notes
receivable
$16M
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Cash Flow
source: myfinsight.com
Fidelity National Financial, Inc. (FNF)
Fidelity National Financial, Inc. (FNF)