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
Net income (loss)3,2063,738547-5601,4385,7124,4197,9744,0884,238-1467,794-1,4622,508
Realized investment gains(losses), net1,0502,831-1,441-5,2061,6364,0252,1944321,977-459-3,8874,024-3,369-3,615
Policy charges and fee income--------2,2482,6162,6522,3022,5322,186
Change in value of market risk benefits, net of related hedging (gains) losses-------------56
Interest Credited to Policy Owner Account-------3,8223,1964,8804,5383,4822,3163,983
Policy charges and fee income--------2,2482,6162,6522,3022,5322,186
Goodwill impairment-----------1,060903177
Interest Credited to Policy Owner Account-------3,8223,1964,8804,5383,4822,3163,983
Depreciation and amortization--------161460457204124-
Goodwill impairment-----------1,060903177
(Gains) losses on assets supporting experience-rated contractholder liabilities, net---------863971743-299-1,128503
Depreciation and amortization--------------70
Deferred policy acquisition costs-1,6546052,0612,6617215339681,240597634542451-232869
Increase (Decrease) in Insurance Liabilities4,4756,76117,7848,37911,2768,31110,58410,94016,48110,99210,8177,7626,5735,489
Income Taxes-----245618-1,61949-339-424-62-1,685-442
Derivatives, net-------2,268-968-1,4852,9402,4262,981746
Other, net714-1,676-1932,666-6,421-3918771,142-680-1,6713,8841,5248274,390
Cash flows from (used in) operating activities6,54212,37720,9098,44519,39613,89514,77813,44521,66419,6258,3689,8125,1586,510
Depreciation and amortization--------161460457204124-
(Gains) losses on assets supporting experience-rated contractholder liabilities, net---------863971743-299-1,128503
Deferred policy acquisition costs-1,6546052,0612,6617215339681,240597634542451-232869
Increase (Decrease) in Insurance Liabilities4,4756,76117,7848,37911,2768,31110,58410,94016,48110,99210,8177,7626,5735,489
Income Taxes-----245618-1,61949-339-424-62-1,685-442
Derivatives, net-------2,268-968-1,4852,9402,4262,981746
Other, net714-1,676-1932,666-6,421-3918771,142-680-1,6713,8841,5248274,390
Cash flows from (used in) operating activities6,54212,37720,9098,44519,39613,89514,77813,44521,66419,6258,3689,8125,1586,510
Cash flows from (used in) operating activities6,54212,37720,9098,44519,39613,89514,77813,44521,66419,6258,3689,8125,1586,510
Fixed maturities, available-for-sale-------58,24459,67552,30644,10664,75950,82344,097
Fixed maturities, held-to-maturity47045552858741523527115594100882393822
Fixed maturities, trading-------40,7286233636903,6261,6411,559
Assets supporting experience-rated contractholder liabilities--------27,38315,28129,16218,86311,4102,286
Equity securities--------3,7712,7082,7044,2903,6974,348
Commercial mortgage and other loans4,3794,8145,3276,5014,0765,4646,3426,0766,4746,5255,4479,3675,5803,985
Policy loans1,7142,0352,2412,2312,0842,1992,2772,4032,3092,2792,5282,0191,7381,806
Other invested assets1,0712,1201,4741,8736551,2761,1451,3371,5491,7831,8152,9721,7891,260
Short-term investments-------29,22533,84638,09547,33932,69640,65332,684
Fixed maturities, available-for-sale38,21352,04552,21267,77457,46747,60666,85768,66777,23464,57056,52365,17460,07047,580
Fixed maturities, trading-------41,0761,0808761,4135,6756594,174
Assets supporting experience-rated contractholder liabilities--------27,31514,61330,82221,39411,7992,290
Equity securities--------3,2542,8133,1684,4303,4514,296
Commercial mortgage and other loans4,7606,8297,06610,3169,3469,3928,5488,85710,32810,6776,1079,4345,4976,359
Policy loans1,5471,8152,0121,8311,8551,7821,8821,9291,9701,9311,9561,2161,2481,544
Other invested assets8241,8651,7362,8502,4452,0051,9231,7802,6642,5572,7603,6282,8323,049
Short-term investments-------28,30133,33637,28649,80232,32937,89432,872
Dispositions, net of cash disposed----------1,454132422-
Fixed maturities, available-for-sale38,21352,04552,21267,77457,46747,60666,85768,66777,23464,57056,52365,17460,07047,580
Fixed maturities, trading-------41,0761,0808761,4135,6756594,174
Assets supporting experience-rated contractholder liabilities--------27,31514,61330,82221,39411,7992,290
Equity securities--------3,2542,8133,1684,4303,4514,296
Commercial mortgage and other loans4,7606,8297,06610,3169,3469,3928,5488,85710,32810,6776,1079,4345,4976,359
Policy loans1,5471,8152,0121,8311,8551,7821,8821,9291,9701,9311,9561,2161,2481,544
Other invested assets8241,8651,7362,8502,4452,0051,9231,7802,6642,5572,7603,6282,8323,049
Short-term investments-------28,30133,33637,28649,80232,32937,89432,872
Derivatives, net------53-314391-26-1,047-1,2864291,8811,329
Dispositions, net of cash disposed----------1,454132422-
Other, net-422-182-143532-231-10622771218843727859698676
Derivatives, net------53-314391-26-1,047-1,2864291,8811,329
Cash flows from (used in) investing activities-8,522-13,295-15,420-16,334-17,088-7,746-21,551-11,934-21,628-17,028-16,210-5,342-7,638-12,122
Other, net-422-182-143532-231-10622771218843727859698676
Cash flows from (used in) investing activities-8,522-13,295-15,420-16,334-17,088-7,746-21,551-11,934-21,628-17,028-16,210-5,342-7,638-12,122
Policyholders’ account deposits22,27124,33622,82224,72123,97723,20629,64226,46228,79127,48541,42431,79530,09428,521
Policyholders’ account withdrawals22,17622,56424,01424,96022,00321,96324,14325,65727,28726,66234,70129,22724,14918,307
Net change in securities sold under agreements to repurchase and cash collateral for loaned securities-8631,1265843,200710-2,2705618151,1251649942-1,541-156
Cash dividends paid on Common Stock5567047688471,0271,1171,3001,2961,5211,6411,7661,8141,8171,846
Net change in financing arrangements (maturities 90 days or less)684104-58396-276829238199-181-21297-21410
Common Stock acquired-9996507381,0001,0132,0001,2501,5002,5005002,5001,4881,012
Proceeds from Stock Options Exercised98122150348269209426246132133153200163126
Proceeds from Other Debt4,5612,2664,6622,8137,9555,1662,7421,2252,9342,9933,0132682,706716
Repayments of debt (maturities longer than 90 days)3,7381,7393,3913,9397,3844,9572,7531,8271,8101,4292,7431,7081,1841,982
Proceeds from notes issued by consolidated VIEs---------971--1371,360
Repayments of notes issued by consolidated VIEs---------63819--336
Other, net3691311,5621,516133-221-131-14-282-181-456-3642,226645
Cash flows from (used in) financing activities1,6132,099-1,3052,2421,629-3,5243,238-1,258781-1,6344,883-3,0114,9337,739
Effect of foreign exchange rate changes on cash balances-------------15937
NET INCREASE (DECREASE) IN CASH, CASH EQUIVALENTS, RESTRICTED CASH AND RESTRICTED CASH EQUIVALENTS INCLUDING BALANCES CLASSIFIED AS HELD-FOR-SALE-----------1,1502,294-
NET INCREASE (DECREASE) IN CASH, CASH EQUIVALENTS, RESTRICTED CASH AND RESTRICTED CASH EQUIVALENTS INCLUDING BALANCES CLASSIFIED AS HELD-FOR-SALE-------------2,164
NET CHANGE IN CASH BALANCES CLASSIFIED AS HELD-FOR-SALE------------2,0712,071-
NET INCREASE (DECREASE) IN CASH, CASH EQUIVALENTS, RESTRICTED CASH AND RESTRICTED CASH EQUIVALENTS--------959979-2,619-9214,3652,164
Income Taxes Paid, Net8938095011,2791091,0837701857601,3482871,6681,090895
Interest paid1,1971,2851,3491,3871,8831,3241,2571,2481,4431,5211,5311,4521,4521,555
Assets classified as held-for-sale-------------153,793-
Liabilities classified as held-for-sale-------------151,359-
Net assets classified as held-for-sale-------------2,434-
Stock Issued-77211105100115115104138197151138236282
Novation of annuity contracts------------3,129491
Assets received, excluding cash and cash equivalents-----2,0913,2282,7268163,1667035,3778,246-
Assets transferred upon surrender of IRA contracts-------------2,019
Net cash received-------3,4297,5791,1663461,020518-
Assets received, excluding Cash and cash equivalents-------------2,264
Acquisitions:--------------
Assets acquired, excluding cash and cash equivalents---11,056----------
Liabilities assumed-------------3,257
Pension Risk Transfer-------------993
Prismic Re-------------12
Acquisitions:--------------
Treasury Stock shares issued---------454----
Net assets transferred, excluding Cash and cash equivalent-------------1,351
Acquisitions:--------------
Net cash paid on acquisition---488----------
Payable established under coinsurance with funds withheld--------------8,185
Reinsurance recoverables established for Future policy benefits ceded-------------5,584
Deposit assets established for Policyholders' account balances ceded-------------3,723
Unwind of Deferred policy acquisition costs ceded--------------23
Deferred Reinsurance Loss-------------240