American Financial Group, Inc.

NYSE:AFG

121.82 (USD) • At close May 9, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986198519841983
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,4061,2258722,1312,8102,3141,5152,3382,1071,2201,3431,6391,7051,3241,0991,119.51,264815.91,329471.849861.7425948715444393912972574485443732381534.616.1757.91,0721,078.619338318
Kortetermijnbeleggingen 54052110,09510,35743,20746,50541,99738,37936,04632,28430,73426,45624,11825,57722,67019,791.216,870.518,054.117,73916,223,97115,636,63313,827,795214.852211.288213.469217.171220.496513.69400000000000000
Liquide middelen en kortetermijnbeleggingen 1,9461,74610,96712,48846,01748,81943,51240,71738,15333,50432,07728,09525,8231,3241,0991,119.51,264815.91,329471.849861.7425948715444393912972574485443732381534.616.1757.91,0721,078.619338318
Nettovorderingen 1,1231,1718868575,1955,7255,67300004,7504,9254,4021,2091,3281,044.51,0361,024.4574.9518.464502.4581,015.335920.426940.946880.677925.019934.335609.4703.3343.8289.9330.9332.9514.8372.8241.2319.2296.1404.900
Voorraad 000-5,493-3,572-6,41701,60001,5531,5010000000000000000000000000000000
Overige vlottende activa 009176,3274,3407,0955,7676005394804694,5444713,19330,3826,861.123,9096,2786,555.9-148,763.945-148,503.017-149,549.7170000000003,225.72,629.82,476.52,056.42,120.61,018.9640.2788.2904.300
Totaal vlottende activa 2,5292,70714,62718,12958,29954,54444,7463,5463,1602,3232,42728,83430,69335,85632,26827,476.326,217.525,603.524,934.1-144,066.008-143,322.473-148,132.7421,886.3351,464.4261,379.9461,271.6771,222.0191,191.3351,057.41,247.3380.83,547.62,998.72,824.42,605.82,509.52,0182,031.42,162.91,502.238318
Niet-vlottende activa:
Materiële vaste activa, netto 0176103118139158-872-853-1,047-88600000-73.4-593.90000000000000095.2135.8149.8412335.6301.5345.1571.41,065.91,1221,090
Goodwill 305305246234207207207199199199201185185186186207.6210.2204.4167.8166.882165.882168.33248.683312.819318.92332.072281.769299.40800000000000000
Immateriële activa 003543522102501,7361,2421,273240870989578000000000000000278.6314.1394.5406.8396.6408.9529.1333.180.8116.4198.2305.800
Goodwill en immateriële activa 305305246234207207207199199199201185185186186207.6210.2204.4167.8166.882165.882168.33248.683312.819318.92332.072281.769299.408278.6314.1394.5406.8396.6408.9529.1333.180.8116.4198.2305.800
Langetermijnbeleggingen 13,9061,94312,83712,94446,81750,24345,29040,38936,46134,25732,69627,94025,37823,17520,41117,606.414,713.416,338.115,630.115,155.12414,240.75112,752.23712,307.35511,062.31510,550.00710,271.90610,754.6897,979.05800000000000000
Belastingvorderingen 003833833861,0088728531,0478860000073.4593.90000000000000000000000000
Overige niet-vlottende activa -13,90617,804-486-501-525-1,166-26,78716,52415,25213,08012,211-14,872-25,378-23,175-20,411-17,607-14,713.6-16,338.5-15,630.9151,559.994151,475.367155,409.433-12,556.038-11,375.134-10,868.927-10,603.978-11,036.458-8,278.466-278.6-314.1-394.5000000000-1,122-1,090
Totaal niet-vlottende activa 30520,22813,08313,17847,02450,45018,71057,11251,91247,53645,10813,253185186186207210204167166,882165,882168,33012,556.03811,375.13410,868.92710,603.97811,036.4588,278.466278.6314.1394.5502532.4558.7941.1668.7382.3461.5769.61,371.71,1221,090
Totaal activa 30,83629,78728,83128,93973,56670,13063,45660,65855,07249,85947,53542,08739,17136,04232,45427,683.326,427.525,807.525,101.122,815.99222,559.52720,197.25819,504.82617,401.68116,415.54116,054.07515,845.20315,755.34915,051.114,953.94,1944,049.63,531.13,383.13,546.93,178.22,400.32,492.92,932.52,873.92,7662,873
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,1911,1861,0354,3393,9243,8383,6943,7002,9362,7922,8722,6303,191475320462504.1363.80000000000000000403.1350.2000000
Kortlopende schulden 000000000000000000000000000000000006.38.710.421.471.2328323
Belastingschulden 000000000000000000000000000000000000000000
Uitgestelde opbrengsten 0008820768000000000000000000000000000000000000
Overige kortlopende verplichtingen 0-1,186-1,035-5,221-3,924-4,606-3,694-3,700-2,936-2,792-2,872-2,630-3,191-475-320-462-504.17,638.707,324.4637,055.419016,83400000000000-403.1-356.5-8.7-10.4-21.4-71.28191,109
Totaal kortlopende verplichtingen 1,19101,03592080781457,18454,02748,87344,24741,59536,5753,19130,56327,03223,07422,90821,82421,25119,35819,10017,28416,83415,02314,08713,98113,53713,51212,97912,63202,32701,904403.11,3516307896951,0481,1471,432
Langlopende verplichtingen:
Langetermijnschulden 1,4751,4751,4961,9641,9631,4731,3021,3011,2839981,061913953934952827.61,029.7936.99211,0001,1061,102945.181879779.956732.656592.432580.7517.9882.1507.3523.2656.1670.8525.4372.5159.7188.986.7241.700
Uitgestelde opbrengsten niet-vlottend 00-1531,6571,725639-8,102-8,667-8,197-65700000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0015330723883450770665965700000000000000000000000029.729.729.732.634.897.200
Overige niet-vlottende verplichtingen 09,0872,7310051,45200035,528000-934-952-827.6-1,029.7-936.9-92111,772.87711,747.975-1,102-945.181-879-779.956-732.656-592.432-580.7-517.9-882.1-507.3-523.2-656.1-670.8-555.1-402.2-189.4-221.5-121.5-338.900
Totaal niet-vlottende verplichtingen 1,47510,5624,2271,9641,9631,4731,3021,3011,2839981,0619139539349528281,0309379211,0001,029837945880780733592581518882507.3523.2656.1670.8555.1402.2189.4221.5121.5338.9572557
Totaal passiva 26,37025,52924,77923,92766,77763,86158,48455,32450,15345,08942,48137,35434,42331,35127,83423,764.423,825.922,661.521,888.320,097.3419,909.39417,933.53817,307.95415,448.57214,358.97814,224.82713,607.2513,579.64313,002.313,199.42,639.12,312.22,011.71,886.11,885.41,333.9630.4836840.31,0481,1471,432
Eigen vermogen:
Preferente aandelen 000000000000000112.8137.10000000000000000000000000
Gewone aandelen 848485858690898887878890890105298.2216.5113.5119.378.06876.63473.05669.12968.49267.4158.4260.92861.0490000000000005135
Ingehouden winsten 3,2113,1213,1423,4784,1494,0093,5883,2483,3432,9872,9122,8262,5952,7692,7202,273.61,841.61,733.51,533.61,134.074976.34664.721409.777359.513442.454557.538527.028477.071559.7387.1867.5912.3707705.1736.3669.3524.4428.2737584.7474329
Overige gereserveerde algehele resultaten -240-319-5431191,27386348813375304727524831557479162.7-70312.655.550.8231.7302.6323.9159.3140.6-18.2357.5348.9000000000000-382-306
Overige totale aandeelhoudersvermogen 1,4111,3721,3681,3301,2811,3071,2451,1811,1111,2141,1521,1231,0631,4511,1661,507.51,351.41,3001,220.51,194.61,145.873-663,020.656923.042910.695898.066742.22770.721775.651994.71,053681.2810795.8773.9897.91,157.51,245.51,228.71,355.21,241.21,4761,383
Totaal eigen vermogen van aandeelhouders 4,4664,2584,0525,0126,7896,2694,9705,3304,9164,5924,8794,5634,5784,5454,4703,781.12,4903,046.12,928.92,457.5422,430.5472,076.1611,725.8481,498.3791,548.531,339.9781,716.1771,662.7091,554.41,440.11,548.71,722.31,502.81,4791,634.21,826.81,769.91,656.92,092.21,825.91,6191,441
Totaal eigen vermogen 4,4664,2584,0525,0126,7896,2694,9725,3344,9194,7705,0544,7334,7484,6914,6203,918.92,601.63,1463,212.82,718.6522,650.1332,263.722,196.8721,953.1092,056.5631,829.2482,237.9532,175.7062,048.81,754.51,554.91,737.41,519.41,4971,661.51,844.31,769.91,656.92,092.21,825.91,6191,441
Totaal passiva en aandeelhoudersvermogen 30,83629,78728,83128,93973,56670,13063,45660,65855,07249,85947,53542,08739,17136,04232,45427,683.326,427.525,807.525,101.122,815.99222,559.52720,197.25819,504.82617,401.68116,415.54116,054.07515,845.20315,755.34915,051.114,953.94,1944,049.63,531.13,383.13,546.93,178.22,400.32,492.92,932.52,873.92,7662,873