Globe Life Inc.

NYSE:GL

107.25 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 970.755739.704744.959731.773760.79701.4661,454.494549.779527.1542.939528.472529.324517.885517.064404.953452.259527.535518.631495.39468.6430.141383.433356.513372.117273.956244.441337.743311.372143.235271.1279.6265.5246.5229.2211.3
Afschrijvingen & Amortisatie 21624.407603.838575.77551.726516.69490.403469.063445.625418.772403.389385.167424.781433.488429.253398.324391.011377.49349.9594.84.814302.7285.8226.8598.847.9349.3299.0569.60325.335.633.525.616.614.5
Uitgestelde Inkomstenbelasting 0-35.65-30.272-35.892-44.8430000000000094.00976.502131.0729474.95438.69682.141000000000000
Aandelen Gebaseerde Vergoedingen 30.73635.6530.27235.89244.84339.79237.03426.32628.66432.20325.64221.60500000000000000000000000
Verandering in Werkkapitaal 815.015915.53944.833920.903746.055751.518.531822.722749.369508.839699.232522.052448.08598.60514.248-175.238281.262274.234222.301176-487.486-477.463-118.705306.55568.867-156.604-123.223-94.455-235.356-90.8826231.421.236.524
Vorderingen 0000000000000000000-15.7-14.734-3.523-3.761-18.33364.188-18.31-11.209-15.501-31.67-41.4-18.5-43.6000
Voorraden 0000000000000000000868.9347.033575.742-2,886.676-2,079.746-1,972.815-2,330.337-2,035.838-1,918.982-1,975.465-1,430.45500000
Crediteuren 0000000000000000423.829413.385371.034371.85.815-27.6148.152265.27953.1753.7532.2559.091-6.62319.663.171.9000
Overig Werkkapitaal 839.814795.064677.43832.746677.467751.518.531822.722749.369508.839699.232522.052448.08598.60514.248-175.238-142.567-139.151-148.733-1,049-825.6-1,022.0682,763.582,139.3551,924.3192,188.291,921.5691,830.9371,778.4021,361.37317.43.1000
Overige Niet-Contante Posten -282.345-857.447-855.95-752.012-694.697-692.009-534.37-442.856-602.044-605.842-511.813-493.704-531.282-520.564127.65955.266-441.086-381.27-341.26523.7718.051403.418336.642-152.757159.95301.882264.984196.423402.09175.91321.9105.1185.8172.6181.9
Kasstroom uit Operationele Activiteiten 1,482.4251,422.1941,437.681,476.4341,363.8741,277.6471,429.0581,398.7081,120.05864.7081,119.28942.839859.4641,028.593976.113730.611849.997865.587857.457767.1740.474650.812662.413532.774511.613397.653488.833422.396319.573281.431399.1435.5479.1454.9431.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -49.553-27.929-38.244-41.756-42.203-45.092-20.285-25.162-36.957-19.367-11.168-4.667-5.386-9.181-6.499-9.8-24.162-7.665-3.02-4-3.614-2.442-3.692-6.508-8.494-6.17-9.422-15.412-6.51-48.988-15.8-40.4-122.2-23.7-20.4
Netto Overnames 876.5960-5.255-8.887-25.426-20.537-21.5540.09000-186.424-28.224289.72-24.556-24.779-47.1226.31100.43.370.197000143.4441.68615.51.1984.43600000
Aankoop van Beleggingen -1,957.451-1,825.399-1,315.801-1,636.028-1,666.178-1,272.574-1,444.626-1,599.855-1,182.73-761.076-1,239.594-1,579.48-1,139.249-1,909.014-2,551.972-1,103.545-2,083.8-1,297.98-934.859-1,226-1,414.756-1,261.133-1,599.409-1,137.511-2,202.956-2,013.816-1,784.111-1,150.068-1,967.677-1,387.808-2,244.1-1,652.2-2,028.7-1,205.7-1,152.4
Verkoop/verval van Beleggingen 1,080.855935.545502.63511.992924.464439.993559.623578.004606.69444.75660.6511,095.606877.7631,099.3041,669.58721.1721,731.5781,259.619904.7611,189.41,436.1131,322.4771,159.191899.0451,816.1831,304.7471,307.086871.051,607.3091,550.8431,528.51,284.51,645.3976.6760.5
Overige Investeringsactiviteiten -876.596-25.232-56.7-7.0510.0321.9870.018-15.423-20.353-14.47-24.267-23.074-17.037-28.47-23.652-15.296-79.09-480.886-465.84-459-620.796-527.6511.1591.2668.09116.45716.48196.02328.684-625.22122915.910.782.212.7
Kasstroom uit Investeringsactiviteiten -926.149-943.015-913.37-1,181.73-809.311-896.223-926.824-1,062.436-633.35-350.163-614.378-698.039-312.133-557.641-937.099-432.248-502.596-520.601-498.958-499.2-599.683-468.552-442.751-243.708-387.176-555.338-468.28-182.907-336.996-506.738-502.4-392.2-494.9-170.6-399.6
Financieringsactiviteiten:
Schuldaflossingen -36.592-150-300-386.875-6.875-327.762-126.875-250-1.978-9.328-94.05-123.711-25.967-8.913-170.379-102.178-32.322-334.639-31.299-12-19.031-2.633-133.454-95.39-75.281-607.346-118.317-149.144-60.867-218.108-189.7-137-23.8-177.9-6.6
Uitgifte van Gewone Aandelen 114.08106.59269.82648.09383.16336.09161.21561.32935.95856.29497.816181.022162.61337.863300.73825.47342.63621.451217.25726.110.5255.097135.0039.88637.164520.09593.97310.1452.9534.4086.715.55.84.13.1
Terugkoop van Gewone Aandelen -511.1-454.638-541.435-443.866-459.569-421.749-412.989-404.784-418.526-449.308-482.264-570.165-972.556-246.006-47.564-455.736-451.791-344.861-554.946-285.3-225.273-182.188-503.085-147.008-221.878-161.126-182.903-106.9960-106.054-41.9-189.1-49.5-109.1-54.2
Uitgekeerde Dividenden -84.116-80.547-80.043-78.192-74.188-71.421-68.831-66.931-66.899-65.006-60.911-55.527-49.125-50.061-46.615-48.802-49.581-48.095-46.346-48.8-43.85-43.501-45.188-46.422-48.175-90.78-80.999-82.893-80.887-82.336-82.9-82.4-84.4-79.8-73.5
Overige Financieringsactiviteiten -96.94386.14328.049586.783-133.039393.32193.499340.595-74.26-32.6123.49299.26960.55-62.504112.258319.985144.304358.57765.48150.1142.36544.432295.68710.516193.254490.677275.18794.513158.084576.747445.8353.7171.681.697
Kasstroom uit Financieringsactiviteiten -541.487-492.453-523.603-274.057-590.508-391.52-453.981-319.791-525.705-499.96-535.919-269.112-824.485-329.621148.438-261.258-346.754-347.567-349.853-269.9-135.264-178.793-251.037-268.418-114.916151.52-13.059-234.37519.283174.657138-39.319.7-281.1-34.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4.19213.67-3.391-1.733-9.14812.559-5.853-1.70134.36914.4916.251.909-4.412-7.57-1.934-10.8032.73500000000000000-43.315.8-284.3-32.1
Netto Kasstroomverandering 10.5970.396-2.68418.914-45.0932.46342.414.78-4.63629.076-24.767-22.403-281.566133.761185.51826.3023.382-2.5818.646-25.5273.467-31.37520.6489.521-6.1657.4945.1141.86-50.6534.7-39.319.7-281.1-34.2
Kaspositie aan het Einde van de Periode 103.15692.55992.16394.84775.933121.026118.56376.16361.38366.01936.94361.7184.113365.679231.91846.420.09816.71619.29710.712.7087.1813.71435.08914.4414.9225.76618.27213.1582.75853.4-24.630.4-273.7-24.7