American Equity Investment Life Holding Company

NYSE:AEL

56.47 (USD) • At close May 2, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 210.531,221.302473.992671.46246.09458.016174.64583.243219.83126.023253.28357.79886.24842.93368.5320.77528.97675.48542.99245.28425.4414.2070.8724.7842.4430.244
Afschrijvingen & Amortisatie 8.65314.1855.5275.1994.0683.4743.9483.8794.619.4918.37518.404-82.702-180.65993.913129.196-184.843-147.136-118.352-69.724-98.967-93.67923.048.57410.9243.672
Uitgestelde Inkomstenbelasting 68.135304.946128.423141.07156.947-12.563-46.73-10.40841.916-46.5043.013-52.336-80.869-118.048-56.1548.5-1.8921.296-31.99-13.6-2.307-11.091-5.794-2.84-15.558-4.551
Aandelen Gebaseerde Vergoedingen 29.29615.82724.60110.21511.29506.4646.6927.3733.54410.4766.5529.33911.9934.633.2910000000000
Verandering in Werkkapitaal 2,312.876190.2662,670.087-476.9141,645.016-1,447.385665.842294.483-314.235-140.142137.465132.681-173.658220.355244.35725.753-522.956-492.659-599.06376.54447.1757.73538.453-23.511-12.3966.172
Vorderingen 0000000000000000-7.205-14.954-25.096-4.0660.264-5.5870000
Voorraden 0000000000000000000-244.467-130.189-281.9370000
Crediteuren 0000000000000000-18.452-42.8491.59480.6156.83513.3220000
Overig Werkkapitaal 2,312.876190.2662,670.087-476.9141,645.016-1,447.385665.842294.483-314.235-140.142137.465132.681-173.658220.355244.35725.753-497.299-434.865-665.561244.467120.265281.93738.453-23.511-12.3966.172
Overige Niet-Contante Posten 1,310.319297.655930.534953.9551,387.9861,030.5461,118.2241,036.433545.31755.375440.056621.215519.433443.901161.271-4.275760.019599.777877.279208.839289.777188.636-74.321-31.72-46.949-21.732
Kasstroom uit Operationele Activiteiten 3,939.8092,044.1814,233.1641,304.9863,351.40243.1851,922.3931,414.322504.804707.786862.668784.314277.791420.475516.551223.2483.30157.057-17.597108.318107.892-28.782-17.75-44.713-61.536-16.194
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -50.084-40.961-18.109-13.24-4.022-4.283-4.809-1.197-1.313-1.352-0.948-0.738-5.265-5.318-2.971-0.341-0.697-0.378-5.01-2.901-0.829-0.914-1.37-0.424-0.877-0.626
Netto Overnames -64.2340000000000000001,191.231002,907.094125.02510.059.083000
Aankoop van Beleggingen -11,352.234-11,527.701-11,466.917-3,265.372-6,943.438-7,802.516-6,023.643-7,497.803-7,858.088-5,756.625-8,410.51-8,732.853-7,761.895-10,221.46-7,006.401-4,027.419-1,850.27-776.168-3,654.468-4,259.099-3,907.582-5,183.426-3,418.389-1,169.296-1,087.233-614.378
Verkoop/verval van Beleggingen 15,896.94611,014.2927,120.5329,156.164,397.2555,675.7353,620.513,045.0252,269.382,683.9454,498.8756,447.3974,436.2667,281.8865,134.8813,514.512892.684444.9913,292.612,751.8913,188.963,550.9051,742.71637.612310.212222.745
Overige Investeringsactiviteiten 64.234-1,900.541-1,859.813-742.944-504.681-277.267-183.994-45.0712.816126.28333.287156.704-274.939-171.496-139.239-375.949-1,191.231-286.156-1,992.757-2,907.094-125.025-10.05-9.083002.095
Kasstroom uit Investeringsactiviteiten 4,494.628-2,454.911-6,224.3075,134.604-3,054.886-2,408.331-2,591.936-4,499.045-5,577.205-2,947.749-3,879.296-2,129.49-3,605.833-3,116.388-2,013.73-889.197-958.283-617.711-2,359.625-1,510.109-719.451-1,633.435-1,677.049-532.108-777.899-390.164
Financieringsactiviteiten:
Schuldaflossingen -7.5-3.750-81.45-88.16-109.298-513.252-100-48.152-219.094-234.154-1.141-46.251-156.641-4.11-65.479-127.858-4.095-6.958-31.833-11.5-13.334-113.333-46.43100
Uitgifte van Gewone Aandelen 20.42253.9784.854338.0611.6919.68114.028139.654112.48113.68131.7645.7414.6866.1241.0610.2190.3532.424180.3217.313180.5790.9940.0391.9561.5121.282
Terugkoop van Gewone Aandelen -309.401-566.567-99.415-165.094279.5950499.650-0.01616.558437.170-0.484-1.224-0.034-27.065-14.154-12.96138.78473.585-9.314-0.917-0.177-0.61900
Uitgekeerde Dividenden -43.675-73.88-75.125-62.374-27.3040-23.148-21.11-17.874-15.015-12.643-9.203-6.916-5.643-4.457-3.511-3.179-2.673-1.621-0.767-0.352-0.163-0.164-0.152-0.1070
Overige Financieringsactiviteiten -241.364-1,788.002-2,425.711333.3971,486.6581,291.0811,335.0443,359.6964,722.1972,247.8182,423.4752,213.3723,184.1932,923.0611,817.859957.7671,008.759495.5122,112.553983.559463.5811,512.671,816.84791.909828.02413.248
Kasstroom uit Financieringsactiviteiten -581.52-2,178.583-2,595.397362.541,652.481,275.4971,312.3223,478.244,768.6362,043.9482,645.6122,208.7693,135.2282,765.6771,810.319861.931863.921478.2082,423.0751,431.857622.9941,499.251,703.205746.663829.425414.531
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 283.3240000000000000000000000000
Netto Kasstroomverandering 7,852.917-2,589.313-4,586.546,802.131,948.996-1,089.649642.779393.517-303.765-196.015-371.016863.593-192.81469.764313.14195.974-11.061-82.44645.85330.06611.435-162.9678.406169.842-10.018.172
Kaspositie aan het Einde van de Periode 9,772.5861,919.6694,508.9829,095.5222,293.392344.3961,434.045791.266397.749701.514897.5291,268.545404.952597.766528.002214.86218.88829.949112.39562.66432.59821.163184.13175.7245.88215.892