The Allstate Corporation

NYSE:ALL

208.06 (USD) • At close June 6, 2025
Overview | Financials

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

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Operating Activities:
Net Income 4,599-213-1,3641,5665,5764,8472,1603,1891,8772,1712,8502,2802,306788928854-1,6794,6364,9931,7653,1812,7051,1341,1582,2112,7203,2943,1052,0751,9044841,302-500
Depreciation & Amortization 5557048471,08668664751148338237136636838825294-91-376-257-188-67-4-3-62-106-47-17-22-22-19-35226112
Deferred Income Tax 00-102-129-137-120000000000000000000000172250122-173-143-620
Stock Based Compensation 0010212913712013882352633648500000000000000000000
Change In Working Capital 3,5893,428-53-882666511292923346-280-269-611-26844836-1,542-402-2,1662,0406821,324327-861-1,511-676-378214-133-1,019-613575-1,031
Accounts Receivables 00-630-2,063-1421-1,052-342-306-312-1,325-934-1,68533102618-302779-873-1,397-511-289-333-50621617620057-676-352303-543
Inventory 00000000000000000-506-2,8001,524-25872-477-1,173000000000
Accounts Payables 00000000000000000-266-3,1043,2222,2941,67394823000000000
Other Working Capital 3,5893,4285771,975166451,5636341,2296581,0456651,074-30134810-1,5606722,959-1,8334390145622-1,005-892-55414-190-343-261272-488
Other Non Cash Items 1883095,6912,552-773-1,0311,9933508117283001,8639711,1572,6232,7027,5071,4562,4161,8671,6091,6653,0242,1001,078240-3-1278631,7242,3208652,852
Operating Cash Flow 8,9314,2285,1215,1165,4915,1295,1754,3143,9933,6163,2364,2423,0541,9293,6894,3013,9105,4335,0555,6055,4685,6914,4232,2911,7312,2672,8913,3423,0362,7282,0702,625813
Investing Activities:
Investments In Property Plant And Equipment -210-267-420-345-308-433-277-299-313-303-288-207-285-246-162-189-291-274-161-196-200-169-239-186-300-212-188-150-126-106-132-76-120
Acquisitions Net 5-180-288-2,41586-594-1,473-1,671-569-242453-291-113-9167-403000-6010,5239,295322-16575-971-2261383780000
Purchases Of Investments 0-33,275-46,509-41,913-47,011-39,884-44,363-38,759-37,322-36,672-45,174-29,275-24,692-31,620-30,391-38,473-33,830-40,139-37,130-38,995-40,846-39,420-35,808-36,601-41,502-40,492-26,101-25,303-22,973-16,721-13,865-17,243-11,835
Sales Maturities Of Investments 030,76045,22144,54443,13938,25344,52939,56535,82338,10246,01530,84726,11839,45332,63540,42736,74040,29536,19834,10030,32330,12527,03932,44339,02737,12125,24323,75622,22112,96811,14013,3489,482
Other Investing Activites -8,047-37268639653-149-135-46-145-143615506553-5102432,0781,1693-826-4,955-10,523-9,295-322-268-5751,942-9539-2,883-142178-73-269
Investing Cash Flow -8,252-2,999-1,728510-3,441-2,807-1,719-1,210-2,5267421,6211,5801,5816,1612,3323,4403,788-115-1,919-5,151-10,723-9,464-9,008-4,360-2,775-2,612-1,367-1,520-3,383-4,001-2,679-4,044-2,742
Financing Activities:
Debt Repayment 145-70-4361,1891749801,219-20-1,006-3561410-225119966-608-46668-1983135644801,03539431015835919-950-1,766
Common Stock Issued 000001,41455700000019283331092390000567000075078402,2870
Common Stock Repurchased -2-335-2,520-3,570-2,025-2,867-2,688-1,495-1,337-2,808-2,301-1,834-913-953-152-4-1,323-3,604-1,770-2,484-1,373-153-446-721-1,783-2,173-1,489-1,358-1,086-60000
Dividends Paid -1,079-1,032-1,031-999-776-787-748-641-602-599-564-358-534-435-430-542-889-901-873-830-756-633-582-535-502-471-443-323-378-350-324-362-202
Other Financing Activities 239131131-799-750-255-621-787-806-1,093-1,270-2,624-3,299-6,488-5,487-7,252-5,545-1,9092452,8056,7644,6615,4992,8022,8171,95052-3479295749013993,805
Financing Cash Flow -697-1,243-3,420-5,240-2,011-2,483-3,574-2,923-1,526-4,520-4,875-5,953-4,605-7,876-6,071-7,544-7,705-5,339-3,006-5555,3033,6774,7842,1101,012341-1,486-1,7183731,3075961,3741,837
Other Information:
Effect Of Forex Changes On Cash 0006600000000000000000000000000000
Net Change In Cash -18-14-2745239-161-118181-59-162-18-13130214-50197-7-21130-10148-9619941-32-4381042634-13-45-92
Cash At End Of Period 704722736763377338499617436495657675806776562612415422443313414366462263222254258220116906881125