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COM:PRUDENTIALPLC

Prudential plc

  • Stock

Last Close

635.40

22/11 18:29

Market Cap

200.15M

Beta: -

Volume Today

4.13M

Avg: -

Preview

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Jan '14
Mar '14
Jun '14
Sep '14
Jan '15
Mar '15
Jun '15
Sep '15
Jan '16
Mar '16
Jun '16
Jan '17
Mar '17
Jun '17
Jan '18
Mar '18
Jun '18
Jan '19
Mar '19
Jun '19
Jun '21
Dec '21
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
net income
1.23B
-
1.23B
0%
1.23B
-
1.23B
0.22%
1.23B
0%
1.23B
-
990.75M
19.45%
990.75M
0%
1.34B
-
1.34B
0%
1.05B
-
1.05B
0%
571.75M
-
571.75M
0%
765.45M
-
828.55M
8.24%
-619.42M
174.76%
400.28M
164.62%
369.77M
7.62%
382.60M
3.47%
371.67M
2.86%
310.24M
16.53%
296.91M
4.30%
depreciation and amortization
61.21M
-
61.65M
0.72%
167.90M
-
155.10M
7.62%
87.54M
43.56%
85.04M
2.86%
126.23M
48.43%
120.80M
4.30%
deferred income tax
stock based compensation
46.57M
-
43.02M
7.62%
33.20M
-
31.77M
4.30%
change in working capital
12.10B
-
12.10B
0%
12.10B
0%
12.10B
0%
2.90B
76.03%
2.90B
0%
2.90B
0%
2.90B
0%
12.03B
314.87%
12.03B
0%
12.03B
0%
16.30B
35.49%
16.30B
0%
16.30B
0%
-4.14B
125.40%
-4.14B
0%
-4.14B
0%
15.29B
469.42%
15.29B
0%
15.29B
0%
-308.91M
102.02%
-1.73B
461.39%
-662.29M
-
-633.82M
4.30%
accounts receivables
inventory
accounts payables
other working capital
12.10B
-
12.10B
0%
12.10B
0%
12.10B
0%
-662.29M
-
-633.82M
4.30%
other non cash items
-12.61B
-
-12.61B
0%
-11.39B
9.73%
-12.61B
10.78%
-3.19B
74.70%
-3.19B
0%
-1.96B
38.54%
-3.19B
62.72%
-12.34B
286.70%
-12.34B
0%
-11.35B
8.03%
-17.09B
50.59%
-17.09B
0%
-15.75B
7.85%
3.87B
124.58%
3.87B
0%
4.92B
27.12%
-15.91B
423.42%
-15.91B
0%
-15.34B
3.59%
371.56M
102.42%
173.99M
53.17%
1.32B
661.10%
-900.42M
167.99%
-831.77M
7.62%
43.37M
105.21%
42.13M
2.86%
14.34M
65.95%
13.73M
4.30%
net cash provided by operating activities
711.31M
-
711.31M
0%
711.31M
0%
711.31M
0%
938.16M
31.89%
938.16M
0%
938.16M
0%
938.16M
0%
678.90M
27.63%
678.90M
0%
678.90M
0%
547.32M
19.38%
547.32M
0%
547.32M
0%
781.65M
42.81%
781.65M
0%
781.65M
0%
-52.25M
106.68%
-52.25M
0%
-52.25M
0%
766.89M
1,567.72%
-793.30M
203.45%
704.86M
188.85%
-285.66M
140.53%
-263.88M
7.62%
513.51M
294.60%
498.84M
2.86%
-178.28M
135.74%
-170.61M
4.30%
investments in property plant and equipment
-66.93M
-
-66.93M
0%
-66.93M
0%
-66.93M
0%
-94.82M
41.67%
-94.82M
0%
-94.82M
0%
-94.82M
0%
-107.34M
13.21%
-107.34M
0%
-107.34M
0%
-45.27M
57.82%
-45.27M
0%
-45.27M
0%
-91.68M
102.51%
-91.68M
0%
-91.68M
0%
-16M
82.55%
-16M
0%
-16M
0%
-13.68M
14.49%
-12.74M
6.90%
-5.75M
54.86%
-8.95M
55.72%
-8.27M
7.62%
-7.30M
11.81%
-7.09M
2.86%
-10.66M
50.36%
-10.20M
4.30%
acquisitions net
-556.62M
-
50.25M
109.03%
-89.34M
-
-85.50M
4.30%
purchases of investments
sales maturities of investments
other investing activites
66.93M
-
66.93M
0%
66.93M
0%
66.93M
0%
94.82M
41.67%
94.82M
0%
94.82M
0%
94.82M
0%
107.34M
13.21%
107.34M
0%
107.34M
0%
45.27M
57.82%
45.27M
0%
45.27M
0%
91.68M
102.51%
91.68M
0%
91.68M
0%
16M
82.55%
16M
0%
16M
0%
-20.54M
-
20.15M
198.10%
18.61M
7.62%
30.80M
65.49%
29.92M
2.86%
-71.31M
338.32%
-68.25M
4.30%
net cash used for investing activites
-28.93M
-
-28.93M
0%
-28.93M
0%
-28.93M
0%
-94.82M
227.76%
-94.82M
0%
-94.82M
0%
-94.82M
0%
-107.34M
13.21%
-107.34M
0%
-107.34M
0%
-45.27M
57.82%
-45.27M
0%
-45.27M
0%
-91.68M
102.51%
-91.68M
0%
-91.68M
0%
-16M
82.55%
-16M
0%
-16M
0%
-570.30M
3,464.40%
37.51M
106.58%
-26.29M
170.09%
11.19M
142.58%
10.34M
7.62%
23.51M
127.34%
22.84M
2.86%
-171.31M
850.19%
-163.95M
4.30%
debt repayment
-173.16M
-
-173.16M
0%
-173.16M
0%
-173.16M
0%
-253.73M
-
-253.73M
0%
-253.73M
0%
-169.40M
33.24%
-169.40M
0%
-169.40M
0%
-126M
25.62%
-126M
0%
-126M
0%
-187.14M
-
common stock issued
5.06M
-
5.06M
0%
5.06M
0%
5.06M
0%
2.59M
48.75%
2.59M
0%
2.59M
0%
2.59M
0%
4.01M
54.66%
4.01M
0%
4.01M
0%
7.09M
76.94%
7.09M
0%
7.09M
0%
5.39M
23.99%
5.39M
0%
5.39M
0%
5.50M
1.99%
5.50M
0%
5.50M
0%
5.76M
4.74%
1.74B
30,145.53%
common stock repurchased
-601.11M
-
-601.11M
0%
-601.11M
0%
-601.11M
0%
dividends paid
-348.26M
-
-348.26M
0%
-348.26M
0%
-348.26M
0%
-360.75M
3.59%
-360.75M
0%
-360.75M
0%
-360.75M
0%
-390.81M
8.33%
-390.81M
0%
-390.81M
0%
-391.57M
0.19%
-391.57M
0%
-391.57M
0%
-394.63M
0.78%
-394.63M
0%
-394.63M
0%
-408.50M
3.51%
-408.50M
0%
-408.50M
0%
-203.78M
50.11%
-105.18M
48.39%
-131.44M
24.97%
-68.95M
47.54%
-63.70M
7.62%
-146.31M
129.70%
-142.13M
2.86%
-70.49M
50.40%
-67.46M
4.30%
other financing activites
516.36M
-
516.36M
0%
516.36M
0%
516.36M
0%
358.15M
30.64%
358.15M
0%
358.15M
0%
358.15M
0%
386.80M
8.00%
386.80M
0%
386.80M
0%
638.20M
65.00%
638.20M
0%
638.20M
0%
558.64M
12.47%
558.64M
0%
558.64M
0%
529M
5.31%
529M
0%
529M
0%
-2.16M
100.41%
-4.44M
105.75%
-783.31M
17,523.62%
-62.24M
92.05%
-57.49M
7.62%
-209.94M
265.17%
-203.94M
2.86%
-65.16M
68.05%
-62.36M
4.30%
net cash used provided by financing activities
-601.11M
-
-601.11M
0%
-601.11M
0%
-601.11M
0%
-432.40M
28.07%
-432.40M
0%
-432.40M
0%
-432.40M
0%
-472.80M
9.34%
-472.80M
0%
-472.80M
0%
-638.20M
34.98%
-638.20M
0%
-638.20M
0%
-395.14M
38.09%
-395.14M
0%
-395.14M
0%
-529M
33.88%
-529M
0%
-529M
0%
-239.07M
54.81%
1.40B
684.72%
-914.75M
165.44%
-131.19M
85.66%
-121.19M
7.62%
-356.25M
193.97%
-346.08M
2.86%
-135.65M
60.80%
-129.82M
4.30%
effect of forex changes on cash
-227.58M
-
-227.58M
0%
-227.58M
0%
-227.58M
0%
97.58M
142.88%
97.58M
0%
97.58M
0%
97.58M
0%
605.43M
520.42%
605.43M
0%
605.43M
0%
347.31M
42.63%
347.31M
0%
347.31M
0%
160.39M
53.82%
160.39M
0%
160.39M
0%
-1.52B
1,048.95%
-1.52B
0%
-1.52B
0%
-73.94M
-
2.24M
103.03%
2.07M
7.62%
-16.21M
883.92%
-15.75M
2.86%
6.15M
139.03%
5.88M
4.30%
net change in cash
-146.31M
-
-146.31M
0%
-146.31M
0%
-146.31M
0%
508.53M
447.57%
508.53M
0%
508.53M
0%
508.53M
0%
704.19M
38.48%
704.19M
0%
704.19M
0%
211.16M
70.01%
211.16M
0%
211.16M
0%
455.22M
115.58%
455.22M
0%
455.22M
0%
-2.12B
565.54%
-2.12B
0%
-2.12B
0%
-1.31B
38.24%
736.86M
156.30%
-310.12M
142.09%
-403.42M
30.08%
-372.66M
7.62%
164.55M
144.16%
159.85M
2.86%
-479.09M
399.72%
-458.50M
4.30%
cash at beginning of period
2.64B
-
2.64B
0%
2.64B
0%
2.64B
0%
2.37B
10.09%
2.37B
0%
2.37B
0%
2.37B
0%
2.40B
1.12%
2.40B
0%
2.40B
0%
3.40B
41.66%
3.40B
0%
3.40B
0%
3.39B
0.27%
3.39B
0%
3.39B
0%
3.86B
13.84%
3.86B
0%
3.86B
0%
5.87B
51.94%
4.56B
22.31%
5.58B
22.46%
5.27B
5.56%
cash at end of period
2.49B
-
2.49B
0%
2.49B
0%
2.49B
0%
2.88B
15.57%
2.88B
0%
2.88B
0%
2.88B
0%
3.10B
7.71%
3.10B
0%
3.10B
0%
3.61B
16.33%
3.61B
0%
3.61B
0%
3.85B
6.50%
3.85B
0%
3.85B
0%
1.74B
54.73%
1.74B
0%
1.74B
0%
4.56B
161.70%
5.29B
16.17%
5.27B
0.45%
4.87B
7.66%
-372.66M
107.66%
164.55M
144.16%
159.85M
2.86%
-479.09M
399.72%
-458.50M
4.30%
operating cash flow
711.31M
-
711.31M
0%
711.31M
0%
711.31M
0%
938.16M
31.89%
938.16M
0%
938.16M
0%
938.16M
0%
678.90M
27.63%
678.90M
0%
678.90M
0%
547.32M
19.38%
547.32M
0%
547.32M
0%
781.65M
42.81%
781.65M
0%
781.65M
0%
-52.25M
106.68%
-52.25M
0%
-52.25M
0%
766.89M
1,567.72%
-793.30M
203.45%
704.86M
188.85%
-285.66M
140.53%
-263.88M
7.62%
513.51M
294.60%
498.84M
2.86%
-178.28M
135.74%
-170.61M
4.30%
capital expenditure
-66.93M
-
-66.93M
0%
-66.93M
0%
-66.93M
0%
-94.82M
41.67%
-94.82M
0%
-94.82M
0%
-94.82M
0%
-107.34M
13.21%
-107.34M
0%
-107.34M
0%
-45.27M
57.82%
-45.27M
0%
-45.27M
0%
-91.68M
102.51%
-91.68M
0%
-91.68M
0%
-16M
82.55%
-16M
0%
-16M
0%
-13.68M
14.49%
-12.74M
6.90%
-5.75M
54.86%
-8.95M
55.72%
-8.27M
7.62%
-7.30M
11.81%
-7.09M
2.86%
-10.66M
50.36%
-10.20M
4.30%
free cash flow
644.38M
-
644.38M
0%
644.38M
0%
644.38M
0%
843.35M
30.88%
843.35M
0%
843.35M
0%
843.35M
0%
571.56M
32.23%
571.56M
0%
571.56M
0%
502.05M
12.16%
502.05M
0%
502.05M
0%
689.97M
37.43%
689.97M
0%
689.97M
0%
-68.25M
109.89%
-68.25M
0%
-68.25M
0%
753.20M
1,203.60%
-806.04M
207.02%
699.11M
186.73%
-294.62M
142.14%
-272.16M
7.62%
506.21M
286.00%
491.75M
2.86%
-188.93M
138.42%
-180.81M
4.30%

All numbers in (except ratios and percentages)