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NYSE:CRBG

Corebridge Financial, Inc.

  • Stock

USD

Last Close

28.89

30/08 20:00

Market Cap

18.22B

Beta: -

Volume Today

2.02M

Avg: 1.91M

PE Ratio

7.93

PFCF: 6.52

Dividend Yield

8.86%

Payout:60.36%

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
3.21B
-
-238M
107.41%
1.57B
760.50%
3.74B
137.85%
3.54B
5.43%
2.98B
15.64%
2.48B
16.96%
-527M
121.28%
-453M
14.04%
751M
265.78%
2.07B
175.50%
-1.31B
163.27%
878M
167.07%
365M
58.43%
depreciation and amortization
435M
-
-51M
111.72%
187M
466.67%
-9M
104.81%
469M
5,311.11%
359M
23.45%
227M
36.77%
-34M
114.98%
105M
408.82%
134M
27.62%
107M
20.15%
20M
81.31%
64M
220.00%
32M
50%
deferred income tax
-75M
-
-104M
-
stock based compensation
75M
-
64M
-
change in working capital
-2.17B
-
1.11B
150.94%
-211M
119.04%
904M
528.44%
-2.86B
416.59%
-2.08B
27.43%
-255M
87.72%
-286M
12.16%
112M
139.16%
179M
59.82%
-778M
534.64%
1.29B
265.55%
-379M
129.43%
-804M
112.14%
accounts receivables
38M
-
112M
194.74%
-17M
115.18%
-107M
529.41%
-211M
97.20%
70M
133.18%
-84M
-
inventory
accounts payables
other working capital
-2.17B
-
1.11B
150.94%
-211M
119.04%
904M
528.44%
-2.86B
416.59%
-2.08B
27.43%
-293M
85.89%
-398M
35.84%
129M
132.41%
286M
121.71%
-567M
298.25%
1.22B
314.81%
-720M
-
other non cash items
-898M
-
37M
104.12%
-945M
2,654.05%
-4.21B
344.97%
-1.13B
73.17%
-711M
36.97%
-816M
14.77%
1.34B
264.22%
537M
59.93%
207M
61.45%
-380M
283.57%
808M
312.63%
163M
79.83%
398M
144.17%
net cash provided by operating activities
573M
-
856M
49.39%
603M
29.56%
429M
28.86%
15M
96.50%
554M
3,593.33%
1.63B
194.77%
493M
69.81%
301M
38.95%
1.27B
322.26%
1.02B
19.91%
767M
24.66%
598M
22.03%
-9M
101.51%
investments in property plant and equipment
-848M
-
-509M
39.98%
-22M
-
-101M
359.09%
-750M
-
-20M
97.33%
acquisitions net
137M
-
947M
591.24%
-107M
111.30%
22M
-
101M
359.09%
32M
68.32%
-5M
115.63%
20M
500%
748M
3,640%
21M
97.19%
purchases of investments
-10.50B
-
-9.99B
4.81%
-9.20B
7.92%
-11.55B
25.54%
-6.46B
44.08%
-6.55B
1.39%
-5.85B
10.67%
-6.75B
15.40%
-5.53B
18.07%
-4.25B
23.21%
-5.21B
22.72%
-10.23B
96.30%
-9.78B
4.41%
sales maturities of investments
11.18B
-
7.94B
29.02%
8.24B
3.83%
12.20B
48.03%
7.30B
40.15%
8.16B
11.83%
4.76B
41.74%
4.92B
3.34%
5.03B
2.34%
5.60B
11.23%
3.48B
37.72%
6.89B
97.65%
7.14B
3.60%
other investing activites
-210M
-
63M
130%
145M
130.16%
-9M
106.21%
-1.98B
21,911.11%
-2.83B
42.60%
218M
107.72%
-2.09B
1,057.80%
-1.01B
51.68%
-7M
99.31%
-650M
9,185.71%
419M
164.46%
-1M
100.24%
-1.32B
131,800%
net cash used for investing activites
474M
-
-1.99B
520.25%
-1.53B
23.39%
1.08B
170.58%
-1.25B
215.69%
-1.21B
2.97%
-875M
27.63%
-3.92B
348.34%
-1.48B
62.35%
587M
139.74%
-2.38B
504.94%
-2.18B
8.46%
-2.62B
20.59%
-1.32B
49.73%
debt repayment
-1.26B
-
-2.52B
99.05%
-941M
62.60%
-1.22B
29.65%
-765M
37.30%
-6.60B
763.01%
-2.04B
69.18%
-138M
93.22%
-142M
2.90%
-148M
4.23%
-584M
294.59%
-1.60B
173.63%
-65M
95.93%
-2.25B
3,361.54%
common stock issued
200M
-
786M
293%
3.20B
306.62%
1M
99.97%
common stock repurchased
-200M
-
-46M
77%
-252M
447.83%
-243M
3.57%
-436M
79.42%
dividends paid
-560M
-
-349M
37.68%
-112M
67.91%
-556M
396.43%
-290M
47.84%
-290M
0%
-296M
-
-149M
49.66%
-551M
269.80%
-146M
73.50%
-876M
500%
-143M
83.68%
-139M
2.80%
other financing activites
897M
-
3.96B
341.36%
1.98B
49.91%
-130M
106.56%
2.29B
1,859.23%
7.48B
226.98%
1.20B
83.99%
4.05B
238.68%
1.36B
66.55%
-896M
166.08%
1.18B
231.70%
951M
19.41%
2.27B
139.01%
4.38B
92.74%
net cash used provided by financing activities
-927M
-
1.09B
218.02%
930M
14.99%
-1.91B
304.95%
1.23B
164.64%
586M
52.44%
-838M
243.00%
3.62B
531.98%
1.06B
70.58%
-1.59B
249.77%
1.19B
174.61%
1.42B
19.41%
1.82B
28.29%
1.56B
14.65%
effect of forex changes on cash
-1M
-
-436M
43,500%
-1M
99.77%
-2M
100%
-2M
0%
-5M
150%
-1M
80%
2M
300%
1M
50%
-38M
3,900%
35M
192.11%
1M
97.14%
-1M
200%
net change in cash
120M
-
-43M
135.83%
-429M
897.67%
35M
108.16%
-1M
102.86%
-71M
7,000%
-85M
19.72%
189M
322.35%
-109M
157.67%
264M
342.20%
-207M
178.41%
43M
120.77%
-202M
569.77%
227M
212.38%
cash at beginning of period
918M
-
1.04B
13.07%
995M
4.14%
566M
43.12%
601M
6.18%
600M
0.17%
529M
11.83%
444M
16.07%
633M
42.57%
524M
17.22%
788M
50.38%
569M
27.79%
612M
7.56%
426M
30.39%
cash at end of period
1.04B
-
995M
4.14%
566M
43.12%
601M
6.18%
600M
0.17%
529M
11.83%
444M
16.07%
633M
42.57%
524M
17.22%
788M
50.38%
581M
26.27%
612M
5.34%
410M
33.01%
653M
59.27%
operating cash flow
573M
-
856M
49.39%
603M
29.56%
429M
28.86%
15M
96.50%
554M
3,593.33%
1.63B
194.77%
493M
69.81%
301M
38.95%
1.27B
322.26%
1.02B
19.91%
767M
24.66%
598M
22.03%
-9M
101.51%
capital expenditure
-848M
-
-509M
39.98%
-22M
-
-101M
359.09%
-750M
-
-20M
97.33%
free cash flow
573M
-
856M
49.39%
-245M
128.62%
-80M
67.35%
15M
118.75%
554M
3,593.33%
1.61B
190.79%
392M
75.67%
301M
23.21%
521M
73.09%
998M
91.55%
767M
23.15%
598M
22.03%
-9M
101.51%

All numbers in USD (except ratios and percentages)