bf/NYSE:AIZ_icon.jpeg

NYSE:AIZ

Assurant, Inc.

  • Stock

USD

Last Close

176.35

14/05 20:00

Market Cap

8.98B

Beta: 0.54

Volume Today

315.39K

Avg: 438.08K

PE Ratio

17.07

PFCF: 10.39

Dividend Yield

2.10%

Payout:28.65%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
488.91M
-
470.91M
3.68%
141.56M
69.94%
565.35M
299.39%
519.60M
8.09%
251M
51.69%
382.60M
52.43%
441.80M
15.47%
1.37B
210.64%
276.60M
79.85%
642.50M
132.28%
depreciation and amortization
124.85M
-
132.22M
5.90%
137.10M
3.70%
125.14M
8.72%
115.70M
7.55%
126.90M
9.68%
125.80M
0.87%
144.30M
14.71%
171.60M
18.92%
182M
6.06%
196.40M
7.91%
deferred income tax
-35.66M
-
-66.96M
87.77%
88.66M
232.41%
-182.89M
306.28%
-4.20M
97.70%
20.40M
585.71%
89.50M
338.73%
191.60M
114.08%
131.70M
31.26%
63.80M
51.56%
-108.50M
270.06%
stock based compensation
50.00M
-
49.35M
1.30%
38.77M
21.44%
41.61M
7.33%
35.50M
14.69%
57.10M
60.85%
55.90M
2.10%
57.90M
3.58%
66.70M
15.20%
62.60M
6.15%
75.10M
19.97%
change in working capital
484.57M
-
238.95M
50.69%
-214.86M
189.92%
-22.99M
89.30%
97M
521.85%
151.70M
56.39%
628.90M
314.57%
372.10M
40.83%
-243.30M
165.39%
-218.30M
10.28%
261M
219.56%
accounts receivables
233.64M
-
-763.47M
426.77%
-106.73M
86.02%
34.44M
132.27%
-916.10M
2,759.91%
388.70M
142.43%
-460.60M
218.50%
-47.20M
89.75%
-869.70M
1,742.58%
-1.28B
46.61%
466.20M
136.56%
inventory
-217.78M
-
537.14M
346.65%
101.58M
81.09%
-11.68M
111.50%
1.10B
9,529.79%
-157.50M
114.30%
862.30M
647.49%
503.50M
41.61%
424.90M
15.61%
-139.70M
-
accounts payables
294.01M
-
401.51M
36.56%
-189.90M
147.30%
-77.99M
58.93%
17.20M
122.05%
3.80M
77.91%
127.10M
3,244.74%
172.80M
35.96%
38.30M
77.84%
11M
71.28%
-68.50M
722.73%
other working capital
-43.08M
-
600.92M
1,494.83%
81.77M
86.39%
20.55M
74.87%
995.90M
4,745.76%
-83.30M
108.36%
100.10M
220.17%
-257M
356.74%
163.20M
163.50%
1.05B
540.81%
3M
99.71%
other non cash items
-120.77M
-
-497.62M
312.03%
152.00M
130.54%
-574.59M
478.03%
-233.20M
59.41%
49.60M
121.27%
130.70M
163.51%
134.30M
2.75%
-717.40M
634.18%
230.20M
132.09%
71.60M
68.90%
net cash provided by operating activities
1.03B
-
393.82M
61.67%
254.57M
35.36%
134.53M
47.16%
530.40M
294.27%
656.70M
23.81%
1.41B
115.23%
1.34B
5.05%
781.70M
41.75%
596.90M
23.64%
1.14B
90.67%
investments in property plant and equipment
-52.33M
-
-83.60M
59.77%
-114.90M
37.43%
-85.23M
25.82%
-62.10M
27.14%
-82.80M
33.33%
-110.30M
33.21%
-121.20M
9.88%
-187.40M
54.62%
-186.30M
0.59%
-202.50M
8.70%
acquisitions net
-273.29M
-
-173.81M
36.40%
33.06M
119.02%
810.68M
2,351.99%
-129.10M
115.92%
-1.05B
713.40%
-7.60M
99.28%
-531.90M
6,898.68%
1.30B
344.22%
-67.70M
105.21%
-300K
99.56%
purchases of investments
-3.84B
-
-2.65B
31.13%
-3.16B
19.33%
-4.56B
44.34%
-4.34B
4.90%
-6.32B
45.71%
-4.34B
31.28%
-2.59B
40.43%
-3.20B
23.82%
-3.20B
0.10%
-2.29B
28.41%
sales maturities of investments
3.75B
-
2.96B
21.18%
3.30B
11.51%
4.28B
29.86%
4.00B
6.63%
5.34B
33.60%
3.88B
27.28%
2.45B
37.03%
2.50B
2.40%
3.23B
28.98%
1.89B
41.54%
other investing activites
24.87M
-
11.62M
53.26%
207.87M
1,688.44%
278.08M
33.77%
-11.40M
104.10%
-92.20M
708.77%
-44M
52.28%
58.50M
232.95%
-256.10M
537.78%
-39.20M
84.69%
-32.80M
16.33%
net cash used for investing activites
-392.74M
-
63.89M
116.27%
264.29M
313.68%
725.62M
174.55%
-541.20M
174.58%
-2.20B
306.97%
-619.80M
71.86%
-735.20M
18.62%
157.60M
121.44%
-262.10M
266.31%
-637.70M
143.30%
debt repayment
-33.63M
-
-467.33M
1,289.46%
-373.03M
-
-221.10M
40.73%
-941.60M
325.87%
-698.90M
25.78%
-201.20M
71.21%
-419.80M
108.65%
-75.90M
81.92%
-225M
196.44%
common stock issued
698.59M
-
780K
99.89%
249.63M
-
671.90M
169.16%
276.40M
58.86%
934.40M
238.06%
433.40M
53.62%
169M
-
common stock repurchased
-393.01M
-
-215.18M
45.25%
-292.91M
36.12%
-863.05M
194.65%
-388.90M
54.94%
-139.30M
64.18%
-271.80M
95.12%
-297M
9.27%
-839.30M
182.59%
-572.80M
31.75%
-193.10M
66.29%
dividends paid
-74.13M
-
-77.50M
4.54%
-94.17M
21.51%
-125.35M
33.11%
-119M
5.06%
-148M
24.37%
-170M
14.86%
-173.30M
1.94%
-162.30M
6.35%
-150.20M
7.46%
-152.30M
1.40%
other financing activites
697.47M
-
-16.19M
102.32%
-100.05M
517.95%
255.24M
355.10%
702.30M
175.16%
2.79B
297.34%
27.10M
99.03%
-26.70M
198.52%
331.60M
1,341.95%
-19.50M
105.88%
-2.50M
87.18%
net cash used provided by financing activities
196.70M
-
-776.20M
494.61%
-487.13M
37.24%
-1.11B
127.09%
-26.70M
97.59%
1.84B
6,983.90%
-179.20M
109.75%
-264.80M
47.77%
-1.09B
311.56%
-818.40M
24.90%
-403.90M
50.65%
effect of forex changes on cash
-23.74M
-
-28.13M
18.47%
-56.23M
99.93%
-16.15M
71.29%
2.30M
114.25%
-35M
1,621.74%
-1.30M
96.29%
19.50M
1,600%
-23.30M
219.49%
-34.50M
48.07%
-5.80M
83.19%
net change in cash
807.78M
-
-398.53M
149.34%
-30.35M
92.38%
-256.33M
744.57%
-35.20M
86.27%
257.20M
830.68%
613.10M
138.37%
361.50M
41.04%
-173.80M
148.08%
-518.10M
198.10%
90.70M
117.51%
cash at beginning of period
909.40M
-
1.72B
88.83%
1.32B
23.21%
1.29B
2.30%
1.03B
19.89%
996.80M
3.41%
1.25B
25.80%
1.87B
48.89%
2.23B
19.36%
2.05B
7.80%
1.54B
25.21%
cash at end of period
1.72B
-
1.32B
23.21%
1.29B
2.30%
1.03B
19.90%
996.80M
3.41%
1.25B
25.80%
1.87B
48.89%
2.23B
19.36%
2.05B
7.80%
1.54B
25.21%
1.63B
5.90%
operating cash flow
1.03B
-
393.82M
61.67%
254.57M
35.36%
134.53M
47.16%
530.40M
294.27%
656.70M
23.81%
1.41B
115.23%
1.34B
5.05%
781.70M
41.75%
596.90M
23.64%
1.14B
90.67%
capital expenditure
-52.33M
-
-83.60M
59.77%
-114.90M
37.43%
-85.23M
25.82%
-62.10M
27.14%
-82.80M
33.33%
-110.30M
33.21%
-121.20M
9.88%
-187.40M
54.62%
-186.30M
0.59%
-202.50M
8.70%
free cash flow
975.24M
-
310.21M
68.19%
139.68M
54.97%
49.29M
64.71%
468.30M
850.03%
573.90M
22.55%
1.30B
127.06%
1.22B
6.32%
594.30M
51.32%
410.60M
30.91%
935.60M
127.86%

All numbers in USD (except ratios and percentages)