PRUDENTIAL FINANCIAL INCPRS

時価総額
$4.4万
PER
0倍
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-Sale194,983254,648301,336286,866299,090290,323321,419346,780353,656391,096412,905372,410307,719316,321
Debt Securities, Held-to-Maturity, Amortized Cost, before Allowance for Credit Loss5,2265,1074,2683,3122,5752,3082,1442,0492,0131,9331,9301,5141,296-
Debt Securities, Held-to-Maturity, Nonaccrual, No Allowance--------------
Debt Securities, Trading--------3,2433,8843,9148,8235,9519,790
Assets supporting experience-rated contractholder liabilities, at fair value--------21,25421,59724,1153,3582,8443,168
Equity Securities, FV-NI, Current--------6,2387,5228,1358,5747,1508,242
Commercial mortgage and other loans---------63,55965,42558,66656,74559,305
Policy loans10,66711,55911,57511,76611,71211,65711,75511,89112,01612,09611,27110,38610,04610,047
Other invested assets (net of $1 and $1 allowance for credit losses; includes $6,074 and $5,682 of assets measured at fair value at December 31, 2023 and 2022, respectively)--------14,52615,60618,12521,83321,09922,855
Short-term Investments, Excluding Debt Securities, Trading-----------6,6354,5915,005
Total investments283,912356,247405,582398,173419,986417,192444,240469,871479,245522,760553,620492,199417,441434,733
Cash and cash equivalents12,91514,25118,10011,43914,91817,61214,12714,49015,35316,32713,70112,88817,25119,419
Accrued investment income2,3772,7933,1273,0893,1303,1103,2043,3253,3183,3303,1932,8553,0123,287
Deferred policy acquisition cost16,43516,79014,10016,51215,97116,71817,66118,99220,05819,91219,02718,19219,53720,856
Value of business acquired----2,8362,8282,3141,5911,8501,1101,103771595530
Income Tax Assets------------4,214939
Market risk benefit assets-------------1,981
Assets held-for-sale-----------153,793--
Reinsurance Recoverable And Deposit Receivables, Including Reinsurance Premium Paid-------------27,311
Other Assets16,43916,06011,88713,83313,37914,35814,78017,03516,11820,83222,80110,73930,18813,179
Income Tax Assets------------4,214939
Separate Account Asset207,776218,380253,254285,060296,435285,570287,636306,617279,136312,281327,277246,145197,679198,888
Other Assets16,43916,06011,88713,83313,37914,35814,78017,03516,11820,83222,80110,73930,18813,179
TOTAL ASSETS539,854624,521709,298731,781766,655757,388783,962831,921815,078896,552940,722937,582689,917721,123
Separate Account Asset207,776218,380253,254285,060296,435285,570287,636306,617279,136312,281327,277246,145197,679198,888
TOTAL ASSETS539,854624,521709,298731,781766,655757,388783,962831,921815,078896,552940,722937,582689,917721,123
Future policy benefits133,874170,459216,050206,859217,766224,384240,908257,317273,846293,527306,343290,784284,452-
Balance, EOP, post-flooring-------------273,281
Policyholder Contract Deposit--134,413136,657136,150136,784145,205148,189150,338152,110161,682122,633135,602147,018
Policyholder's dividends3,3785,7977,5075,5157,6615,5785,7116,4114,1106,9889,5248,7316941,475
Market risk benefit liabilities-------------5,467
Securities sold under agreements to repurchase5,8856,2185,8187,8989,4077,8827,6068,4009,9509,68110,89410,1856,5896,056
Policyholder's dividends3,3785,7977,5075,5157,6615,5785,7116,4114,1106,9889,5248,7316941,475
Cash collateral for loaned securities2,1712,9733,9415,0404,2413,4964,3334,3543,9294,2133,4994,2516,1006,477
Securities sold under agreements to repurchase5,8856,2185,8187,8989,4077,8827,6068,4009,9509,68110,89410,1856,5896,056
Accrued Income Taxes-------9,6007,93611,37812,0229,513--
Cash collateral for loaned securities2,1712,9733,9415,0404,2413,4964,3334,3543,9294,2133,4994,2516,1006,477
Short-term debt-----------722775618
Reinsurance Payable And Funds Withheld Payable-------------15,729
Long-term debt23,65324,62224,72923,55319,83119,72718,04117,17217,37818,64619,71818,62219,90818,882
Accrued Income Taxes-------9,6007,93611,37812,0229,513--
Liabilities held-for-sale-----------151,359--
Short-term debt-----------722775618
Other Liabilities15,41313,29011,68313,92513,03713,51714,73916,61916,01820,80220,32311,75520,53616,071
Long-term debt23,65324,62224,72923,55319,83119,72718,04117,17217,37818,64619,71818,62219,90818,882
Notes Issued by Consolidated Variable Interest Entities-----------2743741,374
Other Liabilities15,41313,29011,68313,92513,03713,51714,73916,61916,01820,80220,32311,75520,53616,071
Separate Account, Liability207,776218,380253,254285,060296,435285,570287,636306,617279,136312,281327,277246,145197,679198,888
Notes Issued by Consolidated Variable Interest Entities-----------2743741,374
Total liabilities506,926586,710670,007695,900724,306715,465737,874777,577766,047832,833872,512874,974672,709691,336
Separate Account, Liability207,776218,380253,254285,060296,435285,570287,636306,617279,136312,281327,277246,145197,679198,888
Total liabilities506,926586,710670,007695,900724,306715,465737,874777,577766,047832,833872,512874,974672,709691,336
Preferred Stock, Value, Issued--------------
Common Stock, Value, Issued-6666-66666666
Additional paid-in capital24,22324,29324,38024,47524,56524,48224,60624,76924,82825,53225,58425,73225,74725,746
Common Stock held in treasury, at cost (307,089,216 and 300,342,458 shares at December 31, 2023 and 2022, respectively)11,17311,92012,16312,41513,08813,81415,31616,28417,59319,45319,65221,83823,06823,780
Accumulated other comprehensive income (loss)2,9785,56310,2148,68116,05012,28514,62117,07410,90624,03930,73821,324-19,827-6,504
Retained Earnings16,38119,28116,13814,53114,88818,93121,94628,50430,47032,99130,74936,65233,39232,352
Total Prudential Financial, Inc. equity32,92837,81139,29135,88142,34941,92346,08854,34449,03163,71968,21062,60817,20829,263
Noncontrolling Interests513588716603579332252754146047857329581,443
Total equity32,92837,81139,29135,88142,34941,92346,08854,34449,03163,71968,21062,60817,20829,263
TOTAL LIABILITIES, MEZZANINE EQUITY AND EQUITY539,854624,521709,298731,781766,655757,388783,962831,921815,078896,552940,722937,582689,917721,123
Redeemable noncontrolling interests-------------524
TOTAL LIABILITIES, MEZZANINE EQUITY AND EQUITY539,854624,521709,298731,781766,655757,388783,962831,921815,078896,552940,722937,582689,917721,123
Total mezzanine equity-------------524
Preferred Stock, Value, Issued--------------
Common Stock, Value, Issued-6666-66666666
Additional paid-in capital24,22324,29324,38024,47524,56524,48224,60624,76924,82825,53225,58425,73225,74725,746
Common Stock held in treasury, at cost (307,089,216 and 300,342,458 shares at December 31, 2023 and 2022, respectively)11,17311,92012,16312,41513,08813,81415,31616,28417,59319,45319,65221,83823,06823,780
Accumulated other comprehensive income (loss)2,9785,56310,2148,68116,05012,28514,62117,07410,90624,03930,73821,324-19,827-6,504
Retained Earnings16,38119,28116,13814,53114,88818,93121,94628,50430,47032,99130,74936,65233,39232,352
Total Prudential Financial, Inc. equity32,92837,81139,29135,88142,34941,92346,08854,34449,03163,71968,21062,60817,20829,263
Noncontrolling Interests513588716603579332252754146047857329581,443
Total equity32,92837,81139,29135,88142,34941,92346,08854,34449,03163,71968,21062,60817,20829,263
TOTAL LIABILITIES, MEZZANINE EQUITY AND EQUITY539,854624,521709,298731,781766,655757,388783,962831,921815,078896,552940,722937,582689,917721,123