NYSE:AIZN
Assurant, Inc. 5.25% Subordinat
- Stock
Last Close
20.92
17/05 20:00
Market Cap
8.98B
Beta: -
Volume Today
13.35K
Avg: 18.53K
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)