AIA Group Limited

HKEX:1299.HK

67.05 (HKD) • At close June 6, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) HKD.

2024 Q42024 Q22023 Q42023 Q22022 Q42022 Q22021 Q42021 Q22020 Q42020 Q22019 Q42019 Q22018 Q42018 Q22017 Q42017 Q22016 Q42016 Q22015 Q42015 Q22014 Q42014 Q22013 Q42013 Q22012 Q42012 Q2
Operating Activities:
Net Income 3,5223,3141,5142,2501,7881,5434,1823,2453,5822,1972,6203,359691.6932,2283,1952,9252,0992,0655612,2041,9041,5468891,935787.55,603.803
Depreciation & Amortization 27917610021712319314919814220516415855.923895862535956454368366114182.395
Deferred Income Tax 00000000000000000000000000
Stock Based Compensation 474077080042442852434529.692464039424240393846393812.577.615
Change In Working Capital 00000000000000000000000000
Accounts Receivables 00000000000000000000000000
Change In Inventory 00000000000000000000000000
Change In Accounts Payables 00000000000000000000000000
Other Working Capital 00000000000000000000000000
Other Non Cash Items -2,906-1,2095,4431,3182,7383,402-3,558-393-4,661812-725-2,327281.308-1,557-2,235-2,633-1,576-1,420235-1,943-1,655-1,246-264-1,668-722.5-8,075.841
Operating Cash Flow 9422,3217,1343,7854,7295,1388153,094-9093,2662,1021,2351,058.6168061,05839361874689234533041470036679-2,212.028
Investing Activities:
Investments In Property Plant And Equipment 00000000000000000000000000
Acquisitions Net -30-74-250-2710-160-303-536-1550-559.3850000000000-1,80200
Purchases Of Investments 00000000000000000000000000
Sales Maturities Of Investments 00000000000000000000000000
Other Investing Activites -230-712-764-1,049-78-468-2,568-197-248-1327-97-66.923-138-159-82-96-457-131-99-189-1,159-110-374-118-869.288
Investing Cash Flow -233-712-838-1,299-349-468-2,584-197-551-668-148-97-626.308-138-159-82-96-457-131-99-189-1,159-110-2,176-118-869.288
Financing Activities:
Debt Repayment 00000000000000000000000000
Common Stock Issued 00000000000000000000000000
Common Stock Repurchased -2,487-1,706-1,681-2,071-2,237-1,436-9-97-10-60-24-4.077-7-5-5-2-84-4-94-2-89-2-85-1-318.222
Dividends Paid -623-1,705-621-1,672-609-1,650-589-1,558-545-1,452-513-1,448-326.769-1,140-393-983-338-786-289-525-247-442-215-380-95.5-1,315.574
Other Financing Activities 1,096-1,969-1,540-2,236-1,658-8691952911,467922-280721-637.9231,381-92499-204285-46121-42884-108903.5-3-170.753
Financing Cash Flow -2,014-3,674-2,161-3,908-2,267-2,519-394-1,267922-530-793-727-964.692241-485-484-542-501-335-404-289442-3231,047-98.5-1,486.327
Other Information:
Effect Of Forex Changes On Cash 40-13866-95-9-184-71-94169-591520-7.231-383331-360-91-58-7113-39-3456.5-62.092
Net Change In Cash -9,2479,2474,201-1,5172,1041,967-2,2341,536-3692,0091,176431-539.615871447-142-56-212335-216-219-290228-797-81-4,629.735
Cash At End Of Period 09,24711,4507,2498,7666,6624,6956,9295,3935,7623,7532,5772,118.3852,6581,7871,3401,4821,5381,7501,4151,6311,8502,1401,912-8124,138.265