QBE Insurance Group Limited

ASX:QBE.AX

17.01 (AUD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001199919981997199619951994199319921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,362.914839.443816.495761.28547.286947.926563.293842.336663.097732.6621,242.2312,088.2011,478.4561,714.4211,288.9721,551.054691.198632.85566.625680.42346.257147.913145.304108.07550.38344.75346.732340.732307.561302.713206.185306.278135.707129.35786.972
Kortetermijnbeleggingen -432.93-270.175-222.862-173.838-162.571-280.586-122.713-232.401-180.66111,331.31814,353.88815,969.32711,275.63510,012.99111,173.23910,915.771,152.9298,692.8365,069.7224,029.1081,969.3671,425.8011,139.368500.275802.58268.47561.12624.04917.1616.43914.751141.14614.26915.14412.524
Liquide middelen en kortetermijnbeleggingen 929.985569.268593.632587.441384.715667.34440.58609.936482.436732.6621,242.2312,088.2011,478.4561,714.4211,288.9721,551.0541,844.127632.85566.625680.42346.257147.913145.304108.07550.38344.75346.732340.732307.561302.713206.185306.278135.707129.35786.972
Nettovorderingen 353.345,700.1985,152.7883,303.7833,250.0314,009.4523,778.8183,478.8653,607.3384,082.9555,136.4955,395.2945,595.1995,598.8153,461.9492,857.7723,229.322,382.9691,926.3131,927.7561,426.56965.856994.64809.7611.081469.367562.538318.671259.776225.306178.522177.679154.186113.72886.805
Voorraad -1,283.324-6,269.466-5,746.421-3,891.224-3,634.746-4,676.791-4,219.397-4,088.84,554.52200000000807.3350734.567582.938000296.306289.352163.665177.933231.502194.601191.203163.91188.11363.37756.391
Overige vlottende activa 1,911.6721,311.0627,959.5776,545.4145,333.78913,465.3811,751.35610,370.579296.49020,975.44123,483.75818,035.7415,555.87816,023.99315,182.30219,373.12315,047.768,131.4228,726.7635,407.7742,929.094003,230.142,950.0313,092.041,954.651,596.681,441.0161,195.5011,337.3261,047.105998.8809.021
Totaal vlottende activa 1,911.6721,311.0627,959.5776,545.4145,333.78913,465.3811,751.35610,370.5798,940.7874,815.61727,354.16630,967.25325,109.39522,869.11420,774.91319,591.12824,446.5718,870.91410,624.3612,069.5067,763.5294,042.8631,139.9441,418.054,187.9113,753.5023,864.9752,791.9852,395.5192,163.6351,771.4111,985.1931,425.111,305.2611,039.189
Niet-vlottende activa:
Materiële vaste activa, netto 382.135430.303481.523546.611445.233215.288271.799255.585263.436311.295409.394581.603454.597439.282309.16286.287304.323161.473123.89961.30553.12239.18835.74923.97323.12742.41521.02119.51315.13515.16212.21815.55457.44964.55857.24
Goodwill 1,592.3951,590.2052,009.8332,094.0162,331.2192,562.5852,468.8393,074.9743,195.2852,930.6473,914.3324,978.6854,734.7124,650.0873,426.5242,634.9781,438.363790.597641.392427.31178.23424.7524.50623.97310.6989.7328.4210.8757.1882.5542.1280000
Immateriële activa 351.2972,033.6082,441.5092,518.3842,792.463,075.5413,032.1323,607.0283,609.97363.751580.9791,278.7011,419.602827.722610.269531.758305.722125.45296.663234.293168.541152.038136.07842.92927.167172.95728.31118.14613.0619.09918.38124.4617.69918.79816.704
Goodwill en immateriële activa 1,437.8683,623.8124,451.3424,612.45,123.6795,638.1275,500.976,682.0026,805.2553,294.3984,495.3116,257.3866,154.3135,477.8094,036.7933,166.7351,744.085916.049738.055661.604246.775152.038136.07842.92927.167172.95728.31129.02120.24821.65320.50924.4617.69918.79816.704
Langetermijnbeleggingen 2,190.0412,206.9381,824.4022,276.8821,931.012,161.6662,223.6291,671.7441,488.46212,544.68215,173.68114,540.06915,706.94414,112.9587,859.4294,384.4491,217.9913,759.2154,356.2335,096.1723,747.0131,817.0931,375.7751,224.01715.71876.5851,078.17564.0718.577138.26977.991117.191222.333231.704230.501
Belastingvorderingen 1,414.7971,537.8031,339.8891,297.9521,150.6021,122.573942.4331,396.2691,384.28916,150.375-40,832000000000001,547.603500.2750-172.957000000000
Overige niet-vlottende activa 27,451.72324,115.08127,179.60425,325.96221,763.37921,568.33322,998.50621,673.99324,043.765-16,150.37540,8320000001,294.79401,638.8861,330.7050-1,547.603-1,679.134-690.662-850.677-1,062.045-50.973-4.139-124.701-61.726-103.639-199.492-209.972-206.506
Totaal niet-vlottende activa 32,876.56431,913.93735,276.7634,059.80730,413.90130,705.98631,937.33731,679.59333,985.20616,150.37520,078.38621,379.05822,315.85420,030.04912,205.3827,837.4723,266.3996,131.5315,218.1887,457.9675,377.6142,008.321,547.603112.05475.34268.32465.46161.6349.82150.38348.99153.56797.989105.08997.94
Totaal activa 34,788.23533,224.99943,236.33740,605.22135,747.6944,171.36643,688.69342,050.17242,925.99338,696.92147,432.55252,346.31147,425.24942,899.16332,980.29627,428.627,712.96819,722.68315,842.54815,236.3179,889.3326,051.1825,646.38602,845.9252,372.5822,961.9862,247.2251,736.6851,617.7841,216.0251,522.9511,168.0651,118.686858.535
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 431.024349.6843,019.7342,160.6031,627.851729.3431,460.4261,165.5461,263.0890700.3851,167.331,843.7572,346.9061,057.9071,130.411,353.012547.145447.533395.748461.676324.407413.713260.7621,619.191884.325182.80474.8261.40163.89445.5116.78233.5832.40227.195
Kortlopende schulden 756.288458.519496.477266.34860.03106.8939.94511.018401.588479.6341,232.297540.84927.455693.195546.497209.87847.821213.619041.53273.95785.62619.6379.32224.67526.222.67211.28817.66318.94311.86213.8597.15614.946
Belastingschulden 126.71339.30223.92714.90843.02234.051157.56472.59843.07100000000000000000000000000
Uitgestelde opbrengsten 126.71339.30223.92714.90843.0220219.606403.764173.28700000000000-0936.98804.073716.174573.615425.074529.99388.085313.635272.38864.45328.64447.43939.55842.141
Overige kortlopende verplichtingen -8,015.851-7,199.25417,471.39217,227.1814,818.74822,765.59722,047.21118,922.22919,324.961-401.5880000000159.2720111.459-47.586-88.689-111.2841,368.376-1,422.319-754.359-50.066000-64.453-28.644-94.879-39.558-84.282
Totaal kortlopende verplichtingen -6,701.826-6,351.74921,011.5319,669.03916,549.65323,494.9423,734.13620,501.48520,772.354401.5881,180.0192,399.6272,384.6062,374.3611,751.1021,676.9071,562.89754.238661.152507.207455.6211,246.6551,192.1272,364.949779.81579.716688.947465.577386.324353.94564.45328.64447.43939.55842.141
Langlopende verplichtingen:
Langetermijnschulden 2,094.2582,356.0832,817.3553,618.5633,096.6193,501.7243,554.0643,444.9263,523.8282,677.8274,106.9883,853.6344,286.2033,270.2121,698.771,531.7792,209.3141,420.341923.9041,085.88602.69355.051155.97188.43896.28376.93882.21986.75259.57855.43527.53526.67325.76530.48817.358
Uitgestelde opbrengsten niet-vlottend 27,176.469780.4375,864.0075,605.2445,031.6314,834.0924,305.454,454.3374,870.0540-3,325.326-1,838.648-2,485.064-1,304.628-385.645-155.899-936.755-889.06-396.798-718.278-203.571881.8812,210.984827.94666.835483.85558.413317.676289.945271.90925.044-12.508-2.319-22.92722.344
Uitgestelde belastingverplichtingen niet-vlottend 1,156.3821,070.214851.388806.002686.359717.26549.506801.562856.416157.367398.357384.642583.467408.777437.977301.027290.331222.957134.046139.60556.5029.72317.29814.97916.69118.92848.31461.14936.826.611.87414.47923.99331.9972.439
Overige niet-vlottende verplichtingen 1,132.43626,444.5123,837.2263,347.2452,226.1642,396.7262,780.0282,570.7662,325.847-2,835.1943,325.3261,838.6482,485.0641,304.628385.645155.899936.7551,328.971396.7981,063.423420.327-881.881-1,192.127-758.144-610.572-425.292-515.734-277.767-250.618-241.675-5.45726.44617.44339.218-15.919
Totaal niet-vlottende verplichtingen 31,559.54630,651.24613,369.97713,377.05411,040.77211,449.80211,189.04811,271.5911,576.1452,835.1944,505.3454,238.2754,869.673,678.9892,136.7471,832.8062,499.6452,083.2091,057.951,570.631875.948364.7741,192.127173.212169.237154.423173.213187.811135.706112.2758.99655.0964.88278.77626.222
Totaal passiva 24,857.71924,299.49734,381.50633,046.09327,590.42534,944.74234,923.18431,773.07532,348.49929,167.15936,993.99940,572.9836,833.53932,330.96824,689.33121,053.74521,736.34715,779.63713,087.39212,517.0648,262.8425,161.0514,877.1972,538.1612,357.5841,981.3022,419.3381,752.8131,398.0951,294.749980.531,264.766936.988902.266695.798
Eigen vermogen:
Preferente aandelen 00000000000000000000017.38478.995000000000000
Gewone aandelen 8,475.818,420.6288,863.8039,329.1537,597.9728,600.5328,795.0538,304.0218,453.9828,075.6179,226.42510,313.1379,202.558,239.5925,929.5943,870.8323,302.7772,139.5171,706.2851,739.5941,130.044567.492499.338238.366201.533144.297165.173141.065110.80593.10150.69460.76255.22356.35139.077
Ingehouden winsten 1,840.832984.556711.816116.2791,895.9912,110.0411,736.1643,568.2433,318.4882,617.6322,639.9923,178.1913,138.5483,797.9614,119.7192,491.5512,601.7861,666.277966.628957.201498.861207.727169.81230.913261.505213.84308.817269.95178.128177.85122.093132.782115.81396.41459.038
Overige gereserveerde algehele resultaten -386.126-480.689-719.791-1,886.304-1,335.698-1,497.13-1,757.829-1,644.8928,453.982-1,208.204-1,475.024-1,917.02-1,802.153-1,552.741-1,911.318-100.909-52.46929.189-10.681-79.514-57.468-2.9467.20813.15113.53922.41554.36171.0344.89947.0358.73661.05157.07460.75662.283
Overige totale aandeelhoudersvermogen -2.993-1.008-1.994-0.994-1.001-7.689-49.2390-9,704.049-0-0138.1820091.78264.62779.75467.07357.67765.55328.49380.7340-492.9650-000-00-00000
Totaal eigen vermogen van aandeelhouders 9,927.5238,923.4878,853.8347,558.1358,157.2659,205.7558,724.14910,227.37210,522.4029,485.04510,391.39211,712.4910,538.94410,484.8138,229.7776,326.1015,931.8473,902.0572,719.9092,682.8351,599.93870.39755.35-10.535476.577380.551528.351482.045333.832317.981231.523254.595228.11213.521160.399
Totaal eigen vermogen 9,930.5168,925.5028,854.8317,559.1288,157.2659,226.6248,765.50910,277.09710,577.4949,529.76210,438.55311,773.33110,591.7110,568.1958,290.9656,374.8555,976.6213,943.0462,755.1562,719.2531,626.49890.131769.1880488.341391.279542.647494.412338.59323.035235.495258.185231.077216.42162.736
Totaal passiva en aandeelhoudersvermogen 34,788.23533,224.99943,236.33740,605.22135,747.6944,171.36643,688.69342,050.17242,925.99338,696.92147,432.55252,346.31147,425.24942,899.16332,980.29627,428.627,712.96819,722.68315,842.54815,236.3179,889.3326,051.1825,646.38602,845.9252,372.5822,961.9862,247.2251,736.6851,617.7841,216.0251,522.9511,168.0651,118.686858.535