METLIFE INCMET

時価総額
PER
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
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-Sale327,284350,271374,266350,187365,425351,402350,889308,931298,265327,820354,809340,274276,780281,412
Equity Securities, FV-NI-----------1,2691,684757
Contractholder-directed equity securities and fair value option securities, at estimated fair value-----------12,1429,66810,331
Mortgage Loans on Real Estate, Commercial and Consumer, Net59,05556,91556,59257,703----75,75280,52983,91979,35383,76392,506
Policy loans11,91411,89211,88411,76411,61811,25811,0289,6699,6999,6809,4939,1118,8748,788
Real Estate Investments, Net---10,71210,5258,4339,0419,6379,69810,74111,93312,21613,13713,332
Other limited partnership interests6,4166,3786,6887,4018,0857,0966,7785,7086,6137,7169,47014,62514,41414,764
Short-Term Investments9,38717,31016,90613,9558,6219,2997,8104,8703,9373,8503,9047,1764,9356,045
Other Investments15,43023,62821,14516,22921,28322,52423,18517,26318,19019,01520,59318,65520,03818,202
Total investments463,032511,426517,052488,779505,995495,459500,393444,067436,210473,795508,519494,821433,293446,137
Cash and Cash Equivalents, at Carrying Value13,04610,46115,7387,58510,80812,75217,87712,70115,82116,59819,79520,04720,19520,639
Accrued investment income4,3814,3444,3744,2554,1203,9883,9883,5243,5823,5233,3883,1853,4463,589
Premiums and Other Receivables, Net19,83022,48121,63421,85922,24422,70226,08118,42319,64420,44317,87017,14917,46128,971
Deferred policy acquisition costs and value of business acquired27,30727,97124,76126,70624,44224,13024,79818,41918,89517,83316,38916,06122,98320,151
Market Risk Benefit, Asset, Amount-------------286
Income Taxes Receivable-----16120----18442190
Deferred policy acquisition costs and value of business acquired27,30727,97124,76126,70624,44224,13024,79818,41918,89517,83316,38916,06122,98320,151
Deferred income tax asset------------2,8302,612
Income Taxes Receivable-----16120----18442190
Goodwill11,78111,9359,95310,5429,8729,4779,2209,5909,4229,30810,1129,5359,2979,236
Deferred income tax asset------------2,8302,612
Assets held-for-sale----------7,4187,238--
Goodwill11,78111,9359,95310,5429,8729,4779,2209,5909,4229,30810,1129,5359,2979,236
Other assets8,1927,9847,8768,3697,8627,6667,7678,1678,40810,51811,68511,61511,02611,139
Separate Account Asset183,337203,023235,393317,201316,994301,598308,620205,001175,556188,445199,970179,873146,038144,634
Total assets730,906799,625836,781885,296902,337877,933898,764719,892687,538740,463795,146759,708666,611687,584
Future policy benefits---------194,909206,656199,721204,228-
Future policy benefits173,373184,252192,351187,942189,586191,879199,971177,974186,780----196,406
Policyholder account balances211,020217,700225,821212,885209,294202,722210,235182,518183,693192,627205,176203,473203,082-
Policyholder account balances-------------219,269
Other policy-related balances15,80615,59915,46315,21414,42214,25514,38615,51516,52917,17117,10117,75119,65119,736
Market Risk Benefit, Liability, Amount-------------3,179
Policyholder dividends payable830774728675684720708682677681587478387386
Other policy-related balances15,80615,59915,46315,21414,42214,25514,38615,51516,52917,17117,10117,75119,65119,736
Policyholder dividend obligation8762,9193,8281,7713,1551,7831,9312,1214282,0202,9691,682--
Policyholder dividends payable830774728675684720708682677681587478387386
Payables for collateral under securities loaned and other transactions-33,71633,68730,41135,32636,87133,26425,72324,79426,74529,47531,92020,93717,524
Short-term debt306686100175100100242477268235393341175119
Long-term debt---18,65316,28618,02316,50215,68612,82913,46614,60313,93314,64715,548
Secured Debt5,2974,6474,1964,1964,1964,1394,0711,1211,060993845766716637
Junior Subordinated Notes3,1913,1923,1923,1933,1933,1943,1693,1443,1473,1503,1533,1563,1583,161
Deferred income tax liability----------11,0089,693325927
Liabilities held-for-sale----------4,6506,634--
Other liabilities20,38630,91422,49223,16824,43723,56128,81823,98222,96424,17923,61422,53825,98035,805
Other liabilities20,38630,91422,49223,16824,43723,56128,81823,98222,96424,17923,61422,53825,98035,805
Separate Account, Liability183,337203,023235,393317,201316,994301,598308,620205,001175,556188,445199,970179,873146,038144,634
Separate Account, Liability183,337203,023235,393317,201316,994301,598308,620205,001175,556188,445199,970179,873146,038144,634
Total liabilities681,793739,349771,823822,313829,678809,437831,284661,022634,580674,081720,329691,959639,324657,331
Total liabilities681,793739,349771,823822,313829,678809,437831,284661,022634,580674,081720,329691,959639,324657,331
Preferred Stock, Value, Issued--111---------
Common Stock, Value, Issued1011111112121212121212121212
Additional paid-in capital26,42326,78228,01129,27730,54330,74930,94431,11132,47432,68033,81233,51133,61633,690
Retained earnings21,36327,28925,20527,33232,02035,51934,48026,52728,92633,07836,49141,19741,95340,146
Treasury stock, at cost; 461,002,540 and 410,733,057 shares, respectively1721721721721,1723,1023,4746,40110,39312,67813,82918,15721,45824,591
Accumulated other comprehensive income (loss)1,0005,88611,3975,10410,6494,7715,3477,4271,72213,05218,07210,919-27,083-19,242
Total MetLife, Inc.’s stockholders’ equity48,99660,17164,83762,09672,56068,41967,48058,87052,95866,38274,81767,74927,28730,253
Noncontrolling interests371374384543507470171194217238259267247238
Total equity48,99660,17164,83762,09672,56068,41967,48058,87052,95866,38274,81767,74927,28730,253
Total liabilities and equity730,906799,625836,781885,296902,337877,933898,764719,892687,538740,463795,146759,708666,611687,584