Aegon N.V.

AMS:AGN.AS

5.464 (EUR) • At close September 18, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst -162-9222,400-3641,4577512,534610-5148891,1471,8529161,914204-1,0823,073.0773,392.8583,626.8031,6631,7931,5472,3972,0661,5701,179.4241,001.518732.015602.125500.847458.945413.867375.686
Afschrijvingen & Amortisatie 341,1601,1677221,1851,3157811,2081,5199711,1871,4391,6901,6371,7161,6911,4461,9161,480.2241,7351,8441,9481,5011,345939771.522657.045409.739428.688328.87922.81914.991104.448
Uitgestelde Inkomstenbelasting -54-4800000000000000-98-4420-1870000000000000
Aandelen Gebaseerde Vergoedingen 544800000017334132000000000000000000000
Verandering in Werkkapitaal 5,852-60,8357,36419,74529,226-20,40810,43211,806-5,99519,18513,1246,432-7,0148,15613,273-18,004-11,797.78910,634.79918,479.908-1,612.548-4,459.75-1,263.42-5,458.854-7,917.156-3,536.265478.58217,796.2061,268.6161,982.4462,356.8367,071.964-90.1111,316.336
Vorderingen 0000000000000000-9,751.36-4,429.52210,160.643890.933-1,035.397-44.788-905.211-798.855-3,063.967-476.02845.783-571.271692.649324.1242,166.072-45.0560
Voorraden 000000000000000000000000000000000
Crediteuren 00000000000000009,773.93116,764.843-920.689-28.692941.8462,301.326734.501-764.7712,770.6411,203.2688,852.3211,205.579298.574574.5481,369.910658.168
Overig Werkkapitaal 5,852-60,8357,36419,74529,226-21,43210,88713,154-3,19217,40213,12400013,273-18,004-11,820.36-1,700.5229,239.954-2,474.789-4,366.2-3,519.958-5,288.144-6,353.531-3,242.938-248.6588,898.103634.308991.2231,458.1633,535.982-45.056658.168
Overige Niet-Contante Posten -2,69763,448-12,727-22,957-24,56618,859-13,193-10,3135,904-16,923-17,188-10,6896,674-10,444-22,19818,7186,020.7121,757.4-19,987.9357,129.54812,080.7514,195.422,243.8547,528.15622,541.26512,157.865-9,926.2826,019.2267,884.7063,439.363863.3754,623.763,144.675
Kasstroom uit Operationele Activiteiten 3,0272,851-1,796-2,8547,3025175543,3119144,122-1,730-9662,2661,263-7,0051,323-1,3567,8543,5998,72811,25816,4276833,02221,51414,587.3949,528.4888,429.59610,897.9666,625.9258,417.1024,962.5064,941.145
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -116-98-112-120-148-123-101-88-142-92-73-86-90-101-212-97-85-720-245-97-162-194-159-101-79.196-72.627-54.369-48.665-45.171-39.333-16.399-17.679
Netto Overnames -1,952570-38-166-132-428-1,097-99067322589157724-177-138-457911-152-980122-826-507395-4,77400000000
Aankoop van Beleggingen -264-130-98-305-269-146-121-1120000000000-375-67,662-96,586.031-100,646.561-90,057.218-61,916.588-56,463.751-26,799.759-36,496.298-25,402.254-19,701.081-16,657.93-19,883.007-14,551.173-12,390.664
Verkoop/verval van Beleggingen 12185611541723000000000055,00759,50792,276.03196,442.56194,180.21859,159.58838,012.75125,042.97127,312.19117,378.45811,907.41112,068.67813,074.83210,463.1958,456.079
Overige Investeringsactiviteiten 3891332984621131384-15119-225156-2,587-138-58,5181,977-7,787-11,039-13,404-4,488-723-9,720.672-1,198.8060-0.073000.0830
Kasstroom uit Investeringsactiviteiten -2,317616-54-139-86-438-1,198-1,078615-7151671653-278-325-398-2,663-199-4,038-7,403-12,072-16,231-9,982-7,009-24,049-11,556.656-10,455.54-8,078.166-7,842.408-4,634.423-6,847.508-4,104.294-3,952.265
Financieringsactiviteiten:
Schuldaflossingen -1,625-4,086-3,000-3,985-7,014-5,654-37-38-3,916-32-1,544-3,886-5,842-251-6,046-5,134-3,981.389-2,110.488-4,104.47100-789-69.49-24-69-161.798-954.265-1,125.207-695.43-685.495-791.634-966.13-1,399.925
Uitgifte van Gewone Aandelen 003,9143,44414,185264912,5552291301,0127,8761,438.021264.389226195.7181,688.339768615.32821.32813.3957.75744.37917.84628.243176.251
Terugkoop van Gewone Aandelen -1,072-597-231-59-318-248-266-623-213-199-4916,9235,62706,926-217-1,437.021-262.389-3800-5.718-21.339-438-315-472.62101,137.8141,171.4651,288.572992.7391,698.617982.522
Uitgekeerde Dividenden -494-167-121-63-309-328-294-306-292-266-323-207-59-90-122-660-668-471-272-351-177-734-544-298-487-356.808-266.33-263.179-175.705-136.307-128.476-85.556-68.081
Overige Financieringsactiviteiten -762,930-262-1153,910-3501,114-1391,635-1,343-196-230-1,013460-14-4043,949.3891,705.4883,407.4718551,0302,0468,388.494,5012,559-1,944.9861,875.893399.496-3,655.414-2,166.64-1,513.391-1,355.813-775.488
Kasstroom uit Financieringsactiviteiten -3,230-1,920300-778-3,730-2,395519-457-2,785715-2,5522,602-3741191,7561,461-699-874-1,0055308725239,4423,7482,374-2,920.885676.627162.32-3,347.326-1,655.491-1,422.916-680.639-1,084.721
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -385567-1213335-196-23200231-79271075781-265-288-458708-6.186-0.1260.462-0.368-0.657-0.6290927.052-351.43-3,055.558-1,991.502-1,569.594-858.212-988.88
Netto Kasstroomverandering -2,1841,602-1,483-3,8913,519-2,282-3211,753-1,0564,997-3,8451,7342,6521,161-5,4932,121-5,0066,323-7361,848.81457.874719.462142.632-239.657-161.629109.853676.627162.32-3,347.326-1,655.491-1,422.916-680.639-1,084.721
Kaspositie aan het Einde van de Periode 4,5908,4916,8898,37212,2638,74411,02611,3469,59310,6495,6529,5607,8265,1744,0139,5067,38512,3916,0683,487.9541,639.511,588.534869.272727.491970.7721,118.1111,936.385903.002-2,292.876-933.541-863.463-300.979-610.015