bf/NASDAQ:BHF_icon.jpeg

COM:BRIGHTHOUSEFINANCIAL

Brighthouse Financial

  • Stock

USD

Last Close

50.45

22/11 21:00

Market Cap

2.89B

Beta: -

Volume Today

265.87K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.03B
-
1.16B
12.42%
1.12B
3.45%
-2.94B
362.65%
-378M
87.14%
870M
330.16%
-735M
184.48%
-1.06B
43.67%
-103M
90.25%
10M
109.71%
-1.11B
11,220%
depreciation and amortization
40M
-
32M
20%
26M
18.75%
17M
34.62%
17M
0%
18M
5.88%
-233M
-
deferred income tax
-22M
-
stock based compensation
21M
-
21M
0%
23M
9.52%
22M
4.35%
change in working capital
-48M
-
5.86B
12,310.42%
5.12B
12.71%
2.05B
59.87%
3.71B
80.66%
4.99B
34.48%
2.78B
44.21%
4.41B
58.39%
2.13B
51.75%
537M
74.75%
-1.21B
325.88%
accounts receivables
-48M
-
-1.08B
2,141.67%
-394M
63.38%
40M
110.15%
197M
392.50%
-207M
205.08%
-629M
203.86%
-1.35B
113.99%
56M
104.16%
-3.11B
5,646.43%
-1.28B
58.79%
inventory
accounts payables
other working capital
6.94B
-
5.51B
20.57%
2.01B
63.47%
3.51B
74.47%
5.20B
47.92%
3.41B
34.32%
5.75B
68.64%
2.07B
64.01%
3.64B
75.91%
67M
98.16%
other non cash items
3.39B
-
-1.69B
149.88%
-1.63B
3.61%
4.61B
382.52%
48M
98.96%
-2.81B
5,962.50%
-241M
91.44%
-2.48B
931.12%
-1.30B
47.65%
-1.47B
12.61%
2.19B
249.35%
net cash provided by operating activities
4.41B
-
5.36B
21.48%
4.63B
13.62%
3.74B
19.33%
3.40B
9.10%
3.06B
9.84%
1.83B
40.30%
888M
51.42%
746M
15.99%
-1.15B
254.29%
-137M
88.10%
investments in property plant and equipment
3.68B
-
1.34B
-
-1.50B
211.73%
248M
-
acquisitions net
361M
-
193M
46.54%
214M
10.88%
1M
99.53%
-83M
8,400%
-161M
93.98%
-404M
150.93%
-566M
40.10%
-562M
0.71%
-248M
55.87%
purchases of investments
-31.14B
-
-45.54B
46.25%
-42.51B
6.66%
-22.63B
46.77%
-19.42B
14.17%
-21.52B
10.80%
-20.21B
6.08%
-25.79B
27.62%
-20.49B
20.57%
-10.35B
49.50%
sales maturities of investments
27.83B
-
39.42B
41.65%
47.69B
20.97%
20.21B
57.63%
17.96B
11.14%
16.28B
9.33%
14.91B
8.41%
18.11B
21.43%
16.03B
11.45%
7.50B
53.23%
other investing activites
1.99B
-
-1.20B
160.51%
-1.11B
7.48%
-2.06B
84.73%
2M
100.10%
-2.99B
149,600%
-1.94B
35.02%
-140M
92.79%
-3.99B
2,747.14%
-3.26B
18.21%
-349M
89.29%
net cash used for investing activites
1.99B
-
-467M
123.49%
-7.04B
1,407.92%
4.67B
166.37%
-3.92B
183.76%
-4.54B
15.91%
-7.34B
61.77%
-5.84B
20.41%
-12.24B
109.45%
-8.28B
32.37%
-3.20B
61.38%
debt repayment
-1.01B
-
-1.38B
36.67%
-235M
82.96%
-26M
88.94%
-2.81B
10,707.69%
-9M
99.68%
-602M
6,588.89%
-1.55B
157.81%
-680M
56.19%
-3M
99.56%
-2M
33.33%
common stock issued
476M
-
1.83B
-
746M
-
2.42B
224.93%
1.76B
27.56%
common stock repurchased
-1.41B
-
-1.73B
22.40%
-634M
-
-105M
-
-442M
320.95%
-473M
7.01%
-499M
5.50%
-488M
2.20%
-250M
48.77%
dividends paid
-1.96B
-
-4.45B
-
-1.80B
59.56%
-21M
-
-44M
109.52%
-89M
102.27%
-104M
16.85%
-102M
1.92%
other financing activites
-4.40B
-
-77M
98.25%
2.62B
3,496.10%
-1.48B
156.56%
1.76B
218.73%
3.88B
120.84%
4.56B
17.69%
5.83B
27.76%
11.37B
94.99%
9.66B
15.01%
3.42B
64.58%
net cash used provided by financing activities
-6.82B
-
-4.67B
31.52%
2.38B
150.99%
-4.75B
299.66%
-2.85B
39.98%
3.76B
231.98%
4.25B
12.78%
6.19B
45.72%
11.86B
91.69%
9.07B
23.53%
3.07B
66.16%
effect of forex changes on cash
-46M
-
-45M
2.17%
-2M
95.56%
net change in cash
-462M
-
181M
139.18%
-33M
118.23%
3.66B
11,184.85%
-3.37B
192.15%
2.29B
167.87%
-1.27B
155.42%
1.23B
197.08%
366M
70.27%
-359M
198.09%
-264M
26.46%
cash at beginning of period
1.88B
-
1.42B
24.52%
1.60B
12.73%
1.57B
2.06%
5.23B
232.99%
1.86B
64.48%
4.14B
123.21%
2.88B
30.59%
4.11B
42.79%
4.47B
8.91%
4.12B
8.02%
cash at end of period
1.42B
-
1.60B
12.73%
1.57B
2.06%
5.23B
232.99%
1.86B
64.48%
4.14B
123.21%
2.88B
30.59%
4.11B
42.79%
4.47B
8.91%
4.12B
8.02%
3.85B
6.42%
operating cash flow
4.41B
-
5.36B
21.48%
4.63B
13.62%
3.74B
19.33%
3.40B
9.10%
3.06B
9.84%
1.83B
40.30%
888M
51.42%
746M
15.99%
-1.15B
254.29%
-137M
88.10%
capital expenditure
3.68B
-
1.34B
-
-1.50B
211.73%
248M
-
free cash flow
4.41B
-
9.04B
104.96%
4.63B
48.80%
5.08B
9.59%
1.90B
62.56%
3.06B
61.16%
1.83B
40.30%
888M
51.42%
746M
15.99%
-1.15B
254.29%
111M
109.64%

All numbers in USD (except ratios and percentages)