Fidelity National Financial, Inc.
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Fidelity National Financial, Inc. (FNF)

Solvency & Capital Structure

Total Debt

$4.77B

Net Debt

-$52.10B

Fidelity National Financial, Inc. currently has $4.77B in total debt. Net debt is -$52.10B after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

FNFQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-03-314.7756.87-52.10Net Cash109.804.3%
2025-12-314.7732.86-28.09Net Cash109.014.4%
2025-09-304.7733.59-28.82Net Cash106.644.5%
2025-06-304.7832.74-27.96Net Cash102.334.7%
2025-03-314.7731.35-26.58Net Cash98.214.9%
2024-12-314.7131.05-26.34Net Cash95.374.9%
2024-09-304.5732.46-27.89Net Cash94.674.8%
2024-06-304.5629.24-24.68Net Cash77.785.9%
2024-03-314.2727.02-22.75Net Cash84.505.1%
2023-12-314.2826.56-22.28Net Cash80.615.3%
2023-09-304.0923.88-19.78Net Cash74.005.5%
2023-06-304.1123.13-19.03Net Cash73.025.6%
2023-03-314.1139.93-35.83Net Cash69.655.9%
2022-12-313.6621.24-17.59Net Cash65.145.6%
2022-09-303.1334.76-31.63Net Cash62.165.0%
2022-06-303.5234.86-31.34Net Cash61.235.8%
2022-03-313.5035.50-31.99Net Cash60.865.8%
2021-12-313.5136.36-32.85Net Cash60.695.8%
2021-09-303.5135.42-31.91Net Cash58.516.0%
2021-06-303.0632.93-29.87Net Cash54.525.6%
2021-03-313.0630.59-27.52Net Cash51.495.9%
2020-12-313.0830.80-27.73Net Cash50.456.1%
2020-09-303.0929.01-25.92Net Cash49.886.2%
2020-06-302.8627.35-24.49Net Cash48.006.0%
2020-03-311.283.90-2.62Net Cash10.2012.5%
2019-12-311.283.96-2.68Net Cash10.6812.0%
2019-09-301.264.18-2.92Net Cash10.4212.1%
2019-06-301.273.97-2.71Net Cash10.1912.4%
2019-03-311.263.42-2.17Net Cash9.3013.5%
2018-12-310.843.73-2.90Net Cash8.969.3%
2018-09-300.843.56-2.72Net Cash14.065.9%
2018-06-300.733.36-2.62Net Cash13.885.3%
2018-03-310.753.09-2.34Net Cash9.028.3%
2017-12-310.763.22-2.46Net Cash13.625.6%
2017-09-300.893.97-3.08Net Cash15.875.6%
2017-06-302.444.16-1.72Net Cash21.1211.5%
2017-03-312.723.93-1.21Net Cash21.0712.9%
2016-12-312.754.24-1.50Net Cash21.3612.9%
2016-09-302.754.06-1.31Net Cash21.1513.0%
2016-06-302.794.36-1.57Net Cash21.1113.2%
2016-03-312.744.29-1.55Net Cash20.5213.4%
2015-12-312.794.37-1.58Net Cash20.5213.6%
2015-09-302.814.30-1.49Net Cash14.0420.0%
2015-06-302.834.50-1.67Net Cash21.1613.4%
2015-03-312.913.85-0.94Net Cash13.7221.2%
2014-12-312.834.06-1.23Net Cash13.8720.4%
2014-09-303.244.24-1.00Net Cash14.7921.9%
2014-06-303.344.24-0.90Net Cash14.8422.5%
2014-03-313.343.96-0.62Net Cash14.6922.8%
2013-12-311.324.95-3.63Net Cash10.5212.6%
2013-09-301.354.45-3.10Net Cash10.5412.8%
2013-06-301.344.41-3.06Net Cash10.4712.8%
2013-03-311.354.09-2.73Net Cash9.6814.0%
2012-12-311.344.33-2.99Net Cash10.3812.9%
2012-09-301.351.130.2210.2213.2%
2012-06-300.950.97-0.02Net Cash8.6511.0%
2012-03-311.070.780.298.0313.3%
2011-12-310.920.720.207.8611.6%
2011-09-301.020.650.367.9012.8%
2011-06-300.950.630.327.8612.1%
2011-03-310.950.590.367.8212.2%
2010-12-310.950.710.247.8912.1%
2010-09-300.800.530.277.9010.2%
2010-06-300.750.87-0.12Net Cash7.949.5%
2010-03-310.860.510.357.8111.0%
2009-12-310.860.550.317.9310.9%
2009-09-300.870.800.078.0810.7%
2009-06-301.090.840.258.3313.1%
2009-03-311.301.030.278.1716.0%
2008-12-311.351.100.258.3716.1%
2008-09-301.361.130.237.3118.5%
2008-06-301.200.990.207.2516.5%
2008-03-311.181.090.097.4815.8%
2007-12-311.171.000.177.5615.5%
2007-09-300.640.93-0.28Net Cash7.238.9%
2007-06-300.511.22-0.72Net Cash7.376.9%
2007-03-310.501.00-0.49Net Cash7.027.2%
2006-12-310.491.52-1.03Net Cash7.266.8%
2006-09-300.571.22-0.64Net Cash6.159.3%
2006-06-300.571.37-0.80Net Cash6.199.3%
2006-03-310.631.07-0.44Net Cash5.8910.7%
2005-12-310.601.11-0.50Net Cash5.9010.2%
2005-09-300.661.27-0.61Net Cash6.0010.9%
2004-12-310.020.78-0.75Net Cash5.070.4%