Assurant, Inc.

NYSE:AIZ

211.85 (USD) • At close January 3, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,627.41,536.72,040.82,228.61,867.11,254996.81,031.9711,288.3051,318.6561,717.184909.4041,166.7131,150.5161,318.5521,040.684804.964987.672855.569807.082958.197000
Kortetermijnbeleggingen 6,912.16,439.27,463.113,782.212,724.911,630.39,946.79,799.88510,724.27811,608.4211,762.33312,472.563441.383358.702453.469703.402410.878314.114977.233300.093275.878000
Liquide middelen en kortetermijnbeleggingen 8,539.57,975.99,503.916,010.814,59212,884.310,943.510,831.85612,012.58312,927.07613,479.51713,381.9671,608.0961,509.2181,772.0211,744.0861,215.8421,301.7861,832.8021,107.1751,234.075000
Nettovorderingen 2,265.62,406.4009,593.40001,260.7171,445.631,080.1717,004.504649.122542.927507.933557.337606.391612.011458.657435.4574,952.018000
Voorraad 0-155.5-3,941.8-4,115.522,319.21,679.81,363.61,238.4311,284.8931,460.7621,080.171862.767000000000000
Overige vlottende activa 00000000000000000001,240,996.36816,429.941000
Totaal vlottende activa 10,805.110,226.815,682.825,850.724,185.42,8972,2332,249.942,549.0222,764.2862,797.3551,739.4311,815.8351,693.4431,826.4851,553.8651,385.343987.6721,310.3581,242,53922,616.034000
Niet-vlottende activa:
Materiële vaste activa, netto 708.8645.1561.4493.3433.7392.5347.6343.572298.414277.645253.63250.796242.908267.169275.42278.621275.779275.201267.72277.088283.762000
Goodwill 2,608.82,6032,571.62,589.32,343.42,321.8917.7830.956833.512841.239784.561640.714639.097619.779926.3981,001.899832.656790.519804.864823.054828.523000
Immateriële activa 651262.8583.41,156.52,004.33,157.8313272.475318.317427.422408.185325.103374.84682.20801,001.89900000000
Goodwill en immateriële activa 3,259.82,865.83,1553,745.84,347.75,479.6917.7830.956833.512841.239784.561640.714639.097619.779926.3981,001.899832.656790.519804.864823.054828.523000
Langetermijnbeleggingen 4996,720.57,908.84,125.82,020.11,685.4746.510,221.24611,224.33512,107.82712,220.69112,948.36911,996.35811,438.20810,933.2289,769.54111,173.29410,173.80210,632.11210,004.9829,461.156000
Belastingvorderingen 147.100002,395.51,919.2-8,269.58-8,635.524-9,253.358129.148161.28832.4676.43167.24449.372108.42957.15747.5144,224-207.693000
Overige niet-vlottende activa 17,965.1-6,344.4-11,625.2-8,364.9-6,801.518,625.217,252.615,978.81811,909.57112,000.137220.271-1,089.314-1,142.039-807.631-11,100.468-10,218.913-11,281.723-10,230.959-10,679.626-1,233,364.228-9,253.463000
Totaal niet-vlottende activa 22,579.83,88711,625.28,364.96,801.528,578.221,183.619,105.01215,630.30815,973.4913,608.30112,911.85311,768.78411,593.9551,201.8181,280.521,108.4351,065.721,072.584-1,218,035.1041,112.285000
Totaal activa 33,635.233,123.833,911.544,649.944,291.241,089.331,84329,709.12830,075.94831,562.46629,714.68928,946.60727,115.44526,397.01825,841.79624,514.58626,750.31625,165.14825,365.45324,503.89623,728.31922,634.46924,431.41224,392.536
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,419.32,702.82,0511,969.63,046.23,144.63,927.53,396.54,029.4473,855.6953,496.3034,064.398130.1441,443.9151,484.281,521.4211,436.9291,378.1991,351.1961,328.4831,364.581000
Kortlopende schulden 0224.70000000000000000000000
Belastingschulden 00000000003.371030.43141.70230.1260036.232071.8690000
Uitgestelde opbrengsten 04,013.7016,895.93,874.5-105.5-393.7-48.0630000134.033154.493164.899187.3600000000
Overige kortlopende verplichtingen -1,876.5-6,941.2-2,051-18,865.5-6,920.7-3,144.6-3,927.5-3,396.5-4,029.447-3,855.69519,743.326-4,064.39820,956.42519,153.38318,329.69518,113.21920,231.071-1,414.431-1,351.196-1,400.352-1,364.581000
Totaal kortlopende verplichtingen 542.84,238.44,509.816,945.93,976.933,971.326,504.224,544.00824,347.77925,21023,24322,78921,11720,63920,00919,82221,66820,33920,67019,8721,364.581000
Langlopende verplichtingen:
Langetermijnschulden 2,080.61,905.22,202.52,252.92,006.92,0061,068.21,0671,164.6561,171.0791,638.118972.399972.278972.164972.058971.957971.863971.774971.69971.6111,750000
Uitgestelde opbrengsten niet-vlottend 0000053.1128.1232.13592.327100.81799.311115.62000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000000129.148161.28832.46000108.42957.15747.5144.2240000
Overige niet-vlottende verplichtingen 26,202.326,983.426,25436,442.236,602.233,949.426,493.324,54424,347.77925,210.0823,239.721-972.39921,085.8-972.16419,986.363-971.957-1,080.292-971.774-971.69-975.835-1,750000
Totaal niet-vlottende verplichtingen 28,282.94,238.42,202.52,252.92,006.92,0061,068.21,067.021,164.6561,1711,6389729729779809839939949969961,750000
Totaal passiva 28,825.728,895.128,421.838,695.138,609.135,955.427,561.525,611.02825,551.98126,381.15924,881.2123,761.24122,088.50921,616.48120,988.54720,805.08122,640.25321,310.39121,641.73420,844.30520,875.83220,079.4120,979.00721,024.823
Eigen vermogen:
Preferente aandelen 0002.92.92.91,660.71,293.18451.256183.7479.2260058.1611.1621.1622.1624.1624,16024,160000
Gewone aandelen 0.60.60.70.61.61.61.51.5041.4971.491.4821.4741.4641.4531.4471.4431.4381.431.4261.4231.092000
Ingehouden winsten 4,028.25,214.95,639.75,241.65,241.35,267.44,036.64,003.4984,405.4184,625.544,406.6494,354.9633,742.4793,264.0253,054.4662,650.3712,269.1071,676.1711,006.91569.605248.721000
Overige gereserveerde algehele resultaten -765-986.2-150709.8411.5-155.423494.602118.549555.767426.83830.403554.867285.52465.924-670.94653.91188.064219.499338.163318.527000
Overige totale aandeelhoudersvermogen 1,545.71,5151,572.21,689.4-729.6-496.8-1,662.2-1,294.684-452.753-185.237-10.708352.393883.8211,229.5351,731.4111,728.6371,764.4472,066.9322,471.7242,726.24-564,616.9892,555.0593,452.4053,367.713
Totaal eigen vermogen van aandeelhouders 4,809.54,228.75,489.75,951.45,652.85,1124,270.64,098.14,523.9675,181.3074,833.4795,185.3665,026.9364,780.5374,853.2493,709.5054,088.9033,832.5973,699.5593,635.4312,632.1032,555.0593,452.4053,367.713
Totaal eigen vermogen 4,809.54,228.75,489.75,954.85,682.15,133.94,281.54,098.14,523.9675,181.3074,833.4795,185.3665,026.9364,780.5374,853.2493,709.5054,110.0633,854.7573,723.7193,659.5912,852.4872,555.0593,452.4053,367.713
Totaal passiva en aandeelhoudersvermogen 33,635.233,123.833,911.544,649.944,291.241,089.331,84329,709.12830,075.94831,562.46629,714.68928,946.60727,115.44526,397.01825,841.79624,514.58626,750.31625,165.14825,365.45324,503.89623,728.31922,634.46924,431.41224,392.536