Fairfax Financial Holdings is tracked as a listed Canadian property and casualty insurance, reinsurance, and investment holding company, headquartered in Canada. Fairfax combines decentralized P&C insurance and reinsurance companies with centralized value-oriented investment management and material associates, creating a distinct consolidation and attribution problem.
Source-reviewed company references
Fairfax Financial Holdings: Investor and Listing Information / exchange and investor record
The page supports the listed parent, Toronto Stock Exchange symbols, annual-report chain, and shareholder information.
Why it matters: This card anchors Fairfax Financial Holdings evidence from Investor and Listing Information / exchange and investor record and preserves the stated disclosure scope.
HTTP 200 official page reviewed. Exclude current price and performance.
HTTP 200 official page reviewed. Exclude current price and performance.
Investor and Listing Information / exchange and investor record
Fairfax Financial Holdings: FY2025 Financial Results / full-year results
Parent-attributable net earnings were USD 4,772.4 million, gross premiums written USD 33.3 billion, underwriting profit USD 1,816.6 million, combined ratio 93.0%, and float USD 39.3 billion.
Why it matters: This card anchors Fairfax Financial Holdings evidence from FY2025 Financial Results / full-year results and preserves the stated disclosure scope.
HTTP 200 official release reviewed. Non-GAAP underwriting, float, and adjusted operating measures retain Fairfax definitions.
HTTP 200 official release reviewed. Non-GAAP underwriting, float, and adjusted operating measures retain Fairfax definitions.
Fairfax Financial Holdings: SEDAR Plus Public Filing Search / regulatory filing
The Canadian public filing system independently supports the reporting-issuer and filing chain.
Why it matters: This card anchors Fairfax Financial Holdings evidence from SEDAR Plus Public Filing Search / regulatory filing and preserves the stated disclosure scope.
Public regulator path inventoried. Search the exact issuer and filing before reuse.
Public regulator path inventoried. Search the exact issuer and filing before reuse.
Fairfax Financial Holdings: 2025 Annual Report / annual report
The report provides audited statements, USD 66.4 billion insurance-company portfolio investments, operating-company results, associates, risks, and capital context.
Why it matters: This card anchors Fairfax Financial Holdings evidence from 2025 Annual Report / annual report and preserves the stated disclosure scope.
HTTP 200 official PDF reviewed. Operating-company and associate figures remain separately attributed.
HTTP 200 official PDF reviewed. Operating-company and associate figures remain separately attributed.
Full company reference archive
View the complete source-reviewed company reference archive, including reporting periods, source dates, reviewed dates, methodology notes, reader cautions, and official source links.
Business And Entity Overview
Fairfax's FY2025 release and annual report provide group and operating-company information, while the investor page and Canadian securities system support listing and filing identity. The profile is bounded to Fairfax Financial Holdings Limited and the consolidated or parent scope identified by each source. It does not transfer group figures automatically to every licensed insurer, branch, brand, or other subsidiary.
Source-Reviewed Evidence
- FY2025 Financial Results / full-year results (FY2025, year ended 2025-12-31). Parent-attributable net earnings were USD 4,772.4 million, gross premiums written USD 33.3 billion, underwriting profit USD 1,816.6 million, combined ratio 93.0%, and float USD 39.3 billion. Scope: Fairfax consolidated and disclosed insurance and reinsurance operations. Caution: HTTP 200 official release reviewed. Non-GAAP underwriting, float, and adjusted operating measures retain Fairfax definitions.
- 2025 Annual Report / annual report (FY2025). The report provides audited statements, USD 66.4 billion insurance-company portfolio investments, operating-company results, associates, risks, and capital context. Scope: Fairfax consolidated with operating-company and associate detail. Caution: HTTP 200 official PDF reviewed. Operating-company and associate figures remain separately attributed.
- Investor and Listing Information / exchange and investor record (Current record reviewed 2026-07-15). The page supports the listed parent, Toronto Stock Exchange symbols, annual-report chain, and shareholder information. Scope: Fairfax Financial Holdings Limited TSX listings FFH and FFH.U. Caution: HTTP 200 official page reviewed. Exclude current price and performance.
- SEDAR Plus Public Filing Search / regulatory filing (2025 annual filing period). The Canadian public filing system independently supports the reporting-issuer and filing chain. Scope: Fairfax Financial Holdings Limited reporting issuer. Caution: Public regulator path inventoried. Search the exact issuer and filing before reuse.
Entity Boundary
Use Fairfax Financial Holdings Limited as the listed parent and consolidated group. Odyssey, Allied World, Northbridge, Brit, Crum & Forster, and other insurance, reinsurance, associate, and non-insurance companies retain separate legal and reporting scopes. Do not transfer consolidated underwriting, float, or investment results to an individual insurer, associate, or non-insurance company.
Lines And Geographic Context
The reviewed source pack supports connections to Property and Casualty, Reinsurance, Commercial Insurance. Canada is the home-jurisdiction reference; other geographies require their own segment or legal-entity support.
Why This Profile Exists
Keeping the 4 reviewed source cards together gives readers a stable route from corporate identity to periodic reporting, capital or regulatory context, and public listing or profile evidence. The profile does not present a score, comparison table, or commercial recommendation.
Reader Note
This profile is source-led reference material. Periodic figures retain the source's metric label, unit, reporting period, and entity scope. Ratings, regulatory measures, listing records, and issuer-defined measures are contextual evidence, not standalone judgments about financial strength, suitability, security value, product choice, pricing, or available insurance capacity.