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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Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 3.43B - | 4.91B 42.99% | 4.92B 0.22% | 3.96B 19.45% | 5.37B 35.38% | 4.20B 21.74% | 2.29B 45.53% | 2.42B 5.77% | 3.02B 24.76% | 1.48B 50.89% | 2.27B 53.31% | |
depreciation and amortization | 351.02M - | 136.01M 61.25% | 323.15M 137.59% | 368.94M 14.17% | ||||||||
deferred income tax | -487.66M - | -397.10M - | -454.97M 14.57% | |||||||||
stock based compensation | 136.64M - | 73.95M - | 86.03M 16.34% | |||||||||
change in working capital | -1.28B - | 533.87M 141.77% | -72.59M 113.60% | -1.63B 2,140.08% | -2.07B 27.48% | 3.06B 247.39% | 352M 88.48% | 35.09B 9,868.75% | -5.44B 115.51% | -6.82B 25.30% | 12.79B 287.52% | |
accounts receivables | ||||||||||||
inventory | ||||||||||||
accounts payables | ||||||||||||
other working capital | -1.28B - | 533.87M 141.77% | ||||||||||
other non cash items | 28.03M - | -2.60B 9,366.77% | -1.09B 57.85% | 378.78M 134.60% | -1.10B 391.13% | -4.13B 274.32% | -2.85B 31.00% | -35.68B 1,152.77% | 2.70B 107.57% | 6.42B 137.42% | -14.23B 321.78% | |
net cash provided by operating activities | 2.18B - | 2.85B 30.32% | 3.75B 31.89% | 2.72B 27.63% | 2.19B 19.38% | 3.13B 42.81% | -209M 106.68% | 1.97B 1,040.67% | 278M 85.86% | 1.08B 287.77% | 832M 22.82% | |
investments in property plant and equipment | -364.43M - | -267.71M 26.54% | -379.26M 41.67% | -429.36M 13.21% | -181.09M 57.82% | -366.71M 102.51% | -64M 82.55% | -59M 7.81% | -36M 38.98% | -34M 5.56% | -44M 29.41% | |
acquisitions net | -667.84M - | -596.13M 10.74% | -360.01M 39.61% | -373.84M 3.84% | 1.28B 443.42% | -639.53M 149.81% | -260M 59.35% | -1.14B 339.23% | -690M 39.58% | -5M 99.28% | -318M 6,260% | |
purchases of investments | ||||||||||||
sales maturities of investments | ||||||||||||
other investing activites | 69.26M - | 15.56M 77.53% | 44.45M 185.55% | 125.85M 183.15% | 5.08M - | 6M - | 2M - | |||||
net cash used for investing activites | -963.01M - | -848.28M 11.91% | -694.83M 18.09% | -677.36M 2.51% | 1.10B 262.80% | -1.00B 190.79% | -324M 67.64% | -1.20B 268.83% | -726M 39.25% | -39M 94.63% | -360M 823.08% | |
debt repayment | -692.63M - | -1.01B - | -677.60M 33.24% | -504M 25.62% | -1.25B - | -2.08B 66% | -393M 81.06% | |||||
common stock issued | 9.89M - | 20.23M 104.51% | 10.37M 48.75% | 16.04M 54.66% | 28.38M 76.94% | 21.57M 23.99% | 22M 1.99% | 13M 40.91% | 2.38B 18,223.08% | 4M - | ||
common stock repurchased | -188.64M - | 0.00 - | -4M - | |||||||||
dividends paid | -1.29B - | -1.39B 8.17% | -1.44B 3.59% | -1.56B 8.33% | -1.57B 0.19% | -1.58B 0.78% | -1.63B 3.51% | -814M 50.18% | -421M 48.28% | -474M 12.59% | -533M 12.45% | |
other financing activites | 1.36B - | -339M 124.95% | 434.08M 228.05% | 1.09B 150.98% | 252.71M 76.80% | 1.54B 511.07% | -341M 122.08% | 1.01B 397.07% | 554M 45.31% | 33M 94.04% | -288M 972.73% | |
net cash used provided by financing activities | 80.80M - | -2.59B 3,309.22% | -998.53M 61.49% | -457.74M 54.16% | -2.30B 402.49% | -690.29M 69.99% | -2.46B 255.94% | 212M 108.63% | 1.26B 496.70% | -2.52B 299.21% | -1.21B 51.98% | |
effect of forex changes on cash | -214.37M - | 10.90M 105.08% | -25.19M 331.16% | 1.24B 5,008.66% | -147.30M 111.92% | 385.75M 361.87% | 203M 47.37% | 70M 65.52% | -44M 162.86% | -175M 297.73% | -25M 85.71% | |
net change in cash | 1.09B - | -585.23M 153.85% | 2.03B 447.57% | 2.82B 38.48% | 844.63M 70.01% | 1.82B 115.58% | -8.48B 565.54% | 1.05B 112.42% | -848M 180.53% | -1.66B 95.28% | -763M 53.93% | |
cash at beginning of period | 10.10B - | 10.56B 4.54% | 9.49B 10.09% | 9.60B 1.12% | 13.60B 41.66% | 13.56B 0.27% | 15.44B 13.84% | 6.96B 54.90% | 8.02B 15.12% | 7.17B 10.58% | 5.51B 23.10% | |
cash at end of period | 11.19B - | 9.98B 10.84% | 11.53B 15.57% | 12.42B 7.71% | 14.45B 16.33% | 15.39B 6.50% | 6.96B 54.73% | 8.02B 15.12% | 7.17B 10.58% | 5.51B 23.10% | 4.75B 13.84% | |
operating cash flow | 2.18B - | 2.85B 30.32% | 3.75B 31.89% | 2.72B 27.63% | 2.19B 19.38% | 3.13B 42.81% | -209M 106.68% | 1.97B 1,040.67% | 278M 85.86% | 1.08B 287.77% | 832M 22.82% | |
capital expenditure | -364.43M - | -267.71M 26.54% | -379.26M 41.67% | -429.36M 13.21% | -181.09M 57.82% | -366.71M 102.51% | -64M 82.55% | -59M 7.81% | -36M 38.98% | -34M 5.56% | -44M 29.41% | |
free cash flow | 1.82B - | 2.58B 41.71% | 3.37B 30.88% | 2.29B 32.23% | 2.01B 12.16% | 2.76B 37.43% | -273M 109.89% | 1.91B 798.53% | 242M 87.31% | 1.04B 331.40% | 788M 24.52% |
All numbers in (except ratios and percentages)