Globe Life Inc.

NYSE:GL

107.25 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 103.15692.55992.16394.84775.933121.026118.56376.16361.38366.01936.94361.7184.113365.679231.91846.420.09816.71619.29710.712.7087.1813.71435.08914.4414.9225.76618.27213.1582.758000000000
Kortetermijnbeleggingen 191.55716,617.48621,374.43221,321.29118,945.43216,361.2217,096.39615,317.90113,812.7914,508.94212,956.02313,636.05321.244216.68357.599130.954111.22156.671118.3188.251.64872.812134.156100.546100.18775.844122.91785.09972.847112.776000000000
Liquide middelen en kortetermijnbeleggingen 18,055.10216,710.04521,466.59521,416.13819,021.36516,482.24617,214.95915,394.06413,874.17314,574.96112,992.96613,697.763105.357582.359589.517177.354131.318173.387137.60798.964.35679.993137.87135.635114.62880.764148.683103.37186.005115.534000000000
Nettovorderingen 630.223484.887487.443474.18441.662415.157391.775384.454344.552543.988331.103383.709253.549230.319197.234151.68496.7578.80967.26273.480.72870.41967.54974.9653.458130.279126.599112.291122.108223.811000000000
Voorraad -815.119-18,104.485-999.818-998.195-887.8490000000000000000000000000000000000
Overige vlottende activa 1,195.3321,116.233999.818998.195887.849342.167246.313177.373186.348-59.953132.87574.44712,078.79310,750.9789,952.3548,114.5639,564.229-235.489,205.8269,070.78,557.3167,640.5211,808.16112,322.7611,522.23310,584.24710,117.2878,994.2758,553.2897,390.028000000000
Totaal vlottende activa 1,195.332206.6821,954.03821,890.31819,463.02717,239.5717,853.04715,955.89114,405.07315,058.99613,456.94414,155.91912,437.69911,563.65610,739.1058,443.6019,792.29716.7169,410.6959,2438,702.47,790.93212,013.5812,533.35511,690.31910,795.2910,392.5699,209.9378,761.4027,729.373000000000
Niet-vlottende activa:
Materiële vaste activa, netto 239.8972122051861611351089783545146-1,518.695-1,209.433-966.426-419.203-966.008-1,010.618-1,011.04829.529.83533.43136.13738.69438.76139.0849.15850.32347.185103.80680.5183.1174.292.778.40000
Goodwill 481.791481.791481.791441.591441.591441.591441.591441.591441.591441.591441.591441.591396.891396.891423.519423.519423.519378.436378.436378.4378.436378.436378.436390.509402.584414.658525.564540.54555.517570.455000000000
Immateriële activa 6,009.477481.791481.791441.591441.5914,137.9253,958.0633,783.158441.5913,457.3973,337.6493,198.431000423.51900000000000000178.650.852.755.968.60000
Goodwill en immateriële activa 481.791481.791481.791441.591441.591441.591441.591441.591441.591441.591441.591441.591396.891396.891423.519423.519423.519378.436378.436378.4378.436378.436378.436390.509402.584414.658525.564540.54555.517570.455178.650.852.755.968.60000
Langetermijnbeleggingen 1,102.87816,617.48621,374.43221,321.29118,945.43216,361.2217,096.39615,317.90113,814.42514,510.41912,957.90713,651.6211,926.50510,776.86810,070.6767,964.4869,358.569,324.78,745.6098,667.28,211.8227,291.6616,661.1566,050.6045,809.1715,854.1345,994.9895,422.2335,293.6224,536.582000000000
Belastingvorderingen 494.639686.1721,765.0211,833.7231,476.8321,047.7371,312.0021,743.991,450.8881,797.2651,285.5741,609.8281,518.6951,209.433966.426419.203966.0081,010.6181,011.048993.5905.126720.17600000000000000000
Overige niet-vlottende activa 24,536.962-17,515.658-1,765.021-1,833.723-1,476.832-12,129.396-13,336.051-12,120.286-10,341.764-11,691.612-10,001.272-11,128.048-7,797.029-6,761.514-10,070.676-7,964.486-9,358.56-9,324.7-8,745.609-9,661.6-9,116.948-8,011.837-6,661.156-6,050.604-5,809.171-5,854.134-5,994.989-5,422.233-5,293.622-4,536.582-259.1-233.9-226.9-148.6-1470000
Totaal niet-vlottende activa 26,856.167481.79122,061.22321,948.88219,548.0235,856.1525,621.9385,480.1965,448.145,111.6634,734.84,620.9914,526.3674,412.245423.519423.519423.519378.436378.436407408.271411.867414.573429.203441.345453.738574.722590.863602.702674.261259.1233.9226.9148.61470000
Totaal activa 28,051.49925,537.15929,768.04829,046.73125,977.4623,095.72223,474.98521,436.08719,853.21320,214.7318,191.74418,776.9117,156.39116,159.76216,023.75913,529.0515,241.42814,980.35514,768.90314,252.213,460.88612,360.72212,428.15312,962.55812,131.66411,249.02810,967.2919,800.89,364.1048,403.6347,646.26,770.16,160.75,535.94,921.44,427.64,241.24,123.43,740
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 514.875-430.027412.94399.50700000000222.254221.5980000000000000000000000000
Kortlopende schulden 486.113449.103479.644254.918298.738307.848328.067264.475490.129238.398229.07319.043224.842198.875233.307403.707202.058169.736638.895343182.448201.479204.037329.148418.394355.392347.15240.91189.372255.116107.1276.811.50.81260000
Belastingschulden 494.639686.1721,765.0211,833.7231,476.8321,047.7371,312.0021,743.991,450.8881,797.2651,285.5741,609.82800000000000423.327309.271511.311415.984340.287362.005235.124000000000
Uitgestelde opbrengsten -514.875686.17266.704-144.58900000000000000000000000000000000000
Overige kortlopende verplichtingen 1,009.514430.027-479.644-254.918-298.73816,015.51215,783.29615,471.58614,563.79914,344.26513,194.9313,105.95711,688.90410,933.52711,595.69310,403.29311,116.94210,753.26410,344.1059,9499,345.5528,611.5219,045.96310,064.8529,347.6068,251.6088,123.8487,338.096,793.6286,112.884-107.1-276.8-11.5-0.8-1260000
Totaal kortlopende verplichtingen 1,495.6271,135.275479.644254.918298.73816,323.3616,111.36315,736.06115,053.92814,582.66313,42413,42512,13611,35411,82910,80711,31910,92310,98310,2929,5288,8139,25010,3949,7668,6078,4717,3796,9836,368107.1276.811.50.81260000
Langlopende verplichtingen:
Langetermijnschulden 1,629.5591,627.9521,546.4941,667.8861,348.9881,357.1851,132.2011,133.165743.733992.13990.865989.686790.571789.643920.471623.47722.433721.958509.84696.7693.403551.564536.152365.989371.555383.422564.298791.88791.988792.763792.2497.9667.1529.3498.2497.5300.1151.3163.8
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000000000000966.0081,010.6181,011.048993.5905.126720.176580.2870000000000000000
Overige niet-vlottende verplichtingen 20,439.5114,572.75-1,546.494-1,667.886-1,348.988000000.1350.3140.4290.357-124.471-124.47-1,090.441-1,134.576-1,167.888-1,150.2-905.529-719.74-580.4390.0110.445-0.422-0.2980.120.0120.237-792.2-497.9-667.1-529.3-498.2-497.5-300.1-151.3-163.8
Totaal niet-vlottende verplichtingen 22,069.06916,200.7021,546.4941,667.8861,348.9881,357.1851,132.2011,133.165743.733992.13991990791790796499598598353540693552536366372383564792792793792.2497.9667.1529.3498.2497.5300.1151.3163.8
Totaal passiva 23,564.69620,641.29821,125.24220,275.63918,683.15317,680.54517,243.56416,869.22615,797.66115,517.26414,415.40214,415.12412,927.48312,143.52112,624.86811,306.14311,916.80111,521.16211,336.13510,832.410,220.7879,364.8429,786.46910,566.8039,945.0038,796.2418,841.3567,978.3127,582.0567,161.0316,228.95,566.45,010.84,532.83,975.1497.5300.1151.3163.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 102.218105.218109.218113.218117.218121.218124.218127.218130.218134.218100.812105.812112.31279.87583.87585.87594.87599.875104.875108.8113.784126.801126.801147.801147.801147.801143.2273.78473.78473.78473.800000000
Ingehouden winsten 7,478.8136,466.226,182.15,874.1095,551.3295,213.4684,806.2083,890.7983,614.3693,376.8463,545.9393,403.3383,634.4813,513.4193,228.9042,928.953,003.1522,827.2872,621.5522,462.52,273.4482,316.8681,978.9032,220.6711,910.4871,707.9331,699.4091,549.3911,325.5341,267.5451,082867.7872.7756.5716.6647.7754.4742.9833.7
Overige gereserveerde algehele resultaten -2,772.419-1,415.7142,677.5833,029.2441,844.83319.4751,424.274577.574231.947997.452210.981925.275549.42322.958-319.183-1,170.417-80.938140.097269.084405.9393.052176.622-12.314-148.406-174.222144.501136.92646.58100000000000
Overige totale aandeelhoudersvermogen -321.809-259.863-326.095-245.479-219.07-238.984-123.279-28.72979.018188.95-81.39-72.639-67.308399.989405.295378.499307.538391.934437.257442.6459.815231.162403.737-17.706109.271259.293-46.819-40.413189.634-98.726261.5248206.6187.3177.9160.2168.1171.7132.1
Totaal eigen vermogen van aandeelhouders 4,486.8034,895.8618,642.8068,771.0927,294.3075,415.1776,231.4214,566.8614,055.5524,697.4663,776.3424,361.7864,228.9084,016.2413,398.8912,222.9073,324.6273,459.1933,432.7683,419.83,240.0992,851.4532,497.1272,202.361,993.3372,259.5281,932.7361,629.3431,588.9521,242.6031,417.31,115.71,079.3943.8894.5807.9922.5914.6965.8
Totaal eigen vermogen 4,486.8034,895.8618,642.8068,771.0927,294.3075,415.1776,231.4214,566.8614,055.5524,697.4663,776.3424,361.7864,228.9084,016.2413,398.8912,222.9073,324.6273,459.1933,432.7683,419.83,240.0992,995.882,641.6842,395.7552,186.6612,452.7872,125.9351,822.4881,782.0481,242.6031,417.31,203.71,149.91,003.1946.3807.9922.5914.6965.8
Totaal passiva en aandeelhoudersvermogen 28,051.49925,537.15929,768.04829,046.73125,977.4623,095.72223,474.98521,436.08719,853.21320,214.7318,191.74418,776.9117,156.39116,159.76216,023.75913,529.0515,241.42814,980.35514,768.90314,252.213,460.88612,360.72212,428.15312,962.55812,131.66411,249.02810,967.2919,800.89,364.1048,403.6347,646.26,770.16,160.75,535.94,921.44,427.64,241.24,123.43,740