Equitable Holdings, Inc.EQH

時価総額
$140億
PER
10.8倍
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Debt Securities, Available-for-Sale, Excluding Accrued Interest---78,21663,36167,030
Fixed maturities, at fair value using the fair value option--3891,6411,5001,700
Financing Receivable, Excluding Accrued Interest, after Allowance for Credit Loss---14,03316,48118,171
Policy loans3,7793,7354,1184,0244,0334,158
Other equity investments--1,5022,9753,1523,384
Debt Securities, Trading-7,0315,5536316771,057
Other Investments2,0372,7532,7283,5913,8856,719
Total investments81,33393,340109,087105,11193,097102,173
Total investments81,33393,340109,087105,11193,097102,173
Cash and cash equivalents4,4694,4056,1795,1884,2818,239
Cash and cash equivalents4,4694,4056,1795,1884,2818,239
Cash and securities segregated, at fair value1,1701,0951,7531,5041,522868
Cash and securities segregated, at fair value1,1701,0951,7531,5041,522868
Broker-dealer related receivables2,2091,9872,2232,5992,3381,837
Broker-dealer related receivables2,2091,9872,2232,5992,3381,837
Deferred Policy Acquisition Cost6,7455,8904,2435,4918,1586,705
Deferred Policy Acquisition Cost6,7455,8904,2435,4918,1586,705
Goodwill and other intangible assets, net--4,7374,7285,4825,433
Goodwill and other intangible assets, net--4,7374,7285,4825,433
Reinsurance Recoverable for Paid Claims and Claims Adjustments4,8954,5924,56614,67917,2018,352
Reinsurance Recoverable for Paid Claims and Claims Adjustments4,8954,5924,56614,67917,2018,352
Deferred Income Tax Assets, Net---1957142,050
GMIB reinsurance contract asset, at fair value---1,8481,229-
Purchased market risk benefits-----9,427
Deferred Income Tax Assets, Net---1957142,050
Other assets3,1273,7993,7013,6134,0313,323
Other assets3,1273,7993,7013,6134,0313,323
Assets held-for-sale-962---565
Assets held-for-sale--470-562-
Assets for market risk benefits-----591
Separate Account Asset110,337126,910135,950147,306114,853127,251
Total Assets220,797249,870275,397292,262253,468276,814
Policyholder Contract Deposit49,92358,87966,82079,35783,85595,673
Liability for Future Policy Benefit, before Reinsurance30,99834,58739,88136,71734,12417,363
Liability for market risk benefits-----14,612
Broker-dealer related payables431-1,4431,2837151,232
Liability for Future Policy Benefit, before Reinsurance30,99834,58739,88136,71734,12417,363
Customer related payables3,095-3,4173,6003,3232,201
Broker-dealer related payables431-1,4431,2837151,232
Reinsurance Payable1,4381,4041,3811,3811,5331,450
Customer related payables3,095-3,4173,6003,3232,201
Short-term debt----759254
Reinsurance Payable1,4381,4041,3811,3811,5331,450
Long-term debt----3,3223,820
Short-term debt----759254
Notes Issued By Consolidated Variable Interest Entity, Fair Value Option--3131,1911,2001,600
Long-term debt----3,3223,820
Other liabilities3,3603,9703,6863,9335,8736,088
Notes Issued By Consolidated Variable Interest Entity, Fair Value Option--3131,1911,2001,600
Liabilities held-for-sale-724322-108153
Other liabilities3,3603,9703,6863,9335,8736,088
Separate Account, Liability110,337126,910135,950147,306114,853127,251
Liabilities held-for-sale-724322-108153
Total Liabilities205,178234,379258,077278,699249,615271,656
Separate Account, Liability110,337126,910135,950147,306114,853127,251
Total Liabilities205,178234,379258,077278,699249,615271,656
Redeemable noncontrolling interest187365143468455770
Preferred Stock and Additional Paid in Capital, Value, Issued--1,2691,5621,562-
Preferred Stock And Additional Paid-In Capital, Value, Issued-----1,562
Common Stock, Value, Issued555445
Additional paid-in capital1,9081,9201,9851,9192,2992,328
Treasury stock, at cost, 143,336,502 and 129,628,107 shares, respectively6401,8322,2452,8503,297-
Treasury stock, at cost, 157,125,976 and 143,336,502 shares, respectively-----3,712
Retained earnings13,98911,82710,6998,8809,92410,243
Accumulated other comprehensive income (loss)--3,8632,004-8,834-7,777
Total equity attributable to Holdings15,43215,12617,17713,0953,3984,388
Noncontrolling interest1,5661,5911,6011,5761,7401,739
Total Equity15,43215,12617,17713,0953,3984,388
Total Liabilities, Redeemable Noncontrolling Interest and Equity220,797249,870275,397292,262253,468276,814