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Financial Services - Insurance - Life - NYSE - US
$ 111.32
1.5 %
$ 61.8 B
Market Cap
16.66
P/E
BALANCE SHEET
131 B ASSETS
-0.65%
109 B LIABILITIES
-2.42%
22 B EQUITY
9.16%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition Aflac Incorporated
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Current Assets 28.2 B
Cash & Short-Term Investments 4.31 B
Receivables 0
Other Current Assets 23.9 B
Non-Current Assets 124 B
Long-Term Investments 2.78 B
PP&E 445 M
Other Non-Current Assets 120 B
Current Liabilities 0
Accounts Payable 0
Short-Term Debt 0
Other Current Liabilities 0
Non-Current Liabilities 105 B
Long-Term Debt 7.36 B
Other Non-Current Liabilities 97.4 B

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992 Dec-1991 Dec-1990 Dec-1989 Dec-1988 Dec-1987 Dec-1986 Dec-1985
ASSETS
Cash & Cash Equivalents 4 306.0 3 943.0 5 051.0 5 141.0 4 896.0 4 337.0 3 491.0 4 859.0 4 350.0 4 658.0 2 543.0 2 041.0 2 249.0 2 121.0 2 323.0 941.0 1 563.0 1 203.0 1 297.0 3 813.0 1 052.0 1 379.0 852.0 609.0 616.0 374.0 235.7 0 4.1 17.6 0 0 0 0 0 0 0 0 0
Short Term Investments 1 440.0 75 741.0 98 696.0 105 882.0 91 262.0 82 895.0 85 336.0 76 702.0 67 794.0 68 270.0 61 038.0 61 578.0 168.0 135.0 117.0 87.0 105.0 102.0 9 483.0 9 108.0 8 215.0 7 829.0 6 736.0 0 0 10.0 43.3 261.7 232.2 330.9 0 0 0 0 0 0 0 0 0
Receivables 0 647.0 693.0 796.0 828.0 851.0 827.0 669.0 705.0 842.0 1 165.0 976.0 680.0 661.0 764.0 920.0 732.0 535.0 584.0 417.0 547.0 435.0 347.0 301.0 270.0 272.0 215.7 227.0 321.1 303.7 232.0 179.5 159.7 144.0 120.2 0 0 0 0
Inventory 0 (7 229.0) (7 496.0) (7 842.0) (7 378.0) (7 004.0) (5 087.0) (6 673.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 36 656.0 0 0 0 0 24 001.3 24 123.9 18 944.7 14 736.0 11 382.1 9 731.7 7 632.8 6 140.3 0 0 0 0
Total Current Assets 28 223.0 80 331.0 104 440.0 111 819.0 96 986.0 88 083.0 89 654.0 82 230.0 72 849.0 73 770.0 64 746.0 64 595.0 3 097.0 2 917.0 3 087.0 1 948.0 2 295.0 1 738.0 1 881.0 4 230.0 1 599.0 1 814.0 37 855.0 910.0 886.0 656.0 494.7 24 490.0 24 681.4 19 597.0 14 968.0 11 561.6 9 891.4 7 776.8 6 260.5 0 0 0 0
PP&E 445.0 530.0 538.0 601.0 581.0 443.0 434.0 433.0 427.0 429.0 481.0 564.0 617.0 620.0 593.0 597.0 496.0 458.0 448.0 515.0 518.0 482.0 455.0 481.0 509.0 427.0 386.0 471.9 552.1 580.2 361.0 223.2 132.0 132.4 124.7 0 0 0 0
Intangible Assets 9 132.0 8 593.0 9 525.0 10 441.0 10 128.0 9 875.0 9 505.0 8 993.0 8 511.0 8 273.0 8 798.0 9 658.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 60.9 104.5 109.9 114.0 116.6 121.1 125.6 130.2 0 0 0 0
Goodwill 265.0 265.0 268.0 269.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 2 785.0 95 888.0 122 299.0 131 629.0 122 149.0 114 200.0 116 766.0 110 052.0 101 253.0 102 512.0 105 453.0 116 004.0 101 213.0 86 109.0 70 755.0 67 609.0 55 432.0 50 711.0 47 635.0 48 101.0 42 966.0 37 741.0 26 062.0 26 053.0 25 463.0 21 794.0 22 627.5 20 725.7 20 015.3 415.3 0 0 0 0 0 0 0 0 0
Other Long Term Assets (12 627.0) (14 066.0) (17 804.0) (18 920.0) (16 285.0) (15 066.0) (14 764.0) (10 831.0) (101 680.0) (102 941.0) (105 934.0) (116 568.0) (101 830.0) (86 729.0) (71 348.0) (68 206.0) (55 928.0) (51 169.0) (48 083.0) (48 616.0) (43 484.0) (38 223.0) (26 512.0) (26 534.0) (25 972.0) (22 221.0) (23 013.5) (20 725.7) (20 015.3) (415.3) 0 0 0 0 0 0 0 0 0
Other Assets (20 898.0) (45 011.0) (69 735.0) (78 963.0) (66 948.0) (62 320.0) (69 637.0) (62 896.0) (56 233.0) (56 944.0) (49 373.0) (50 069.0) 12 175.0 11 393.0 9 671.0 9 177.0 7 582.0 6 898.0 6 397.0 6 480.0 5 881.0 5 021.0 0 9 788.0 10 183.0 8 306.0 5 945.8 0 0 0 0 0 0 0 0 6 073.8 5 030.5 3 302.0 2 271.4
Total Assets 130 878.0 131 738.0 157 542.0 165 086.0 152 768.0 140 406.0 137 217.0 129 819.0 118 296.0 119 767.0 121 307.0 131 094.0 117 102.0 101 039.0 84 106.0 79 331.0 65 805.0 59 805.0 56 361.0 59 326.0 50 964.0 45 058.0 37 860.0 37 232.0 37 041.0 31 183.0 29 454.0 25 022.8 25 338.0 20 287.1 15 443.0 11 901.4 10 144.5 8 034.8 6 515.4 6 073.8 5 030.5 3 302.0 2 271.4
LIABILITIES
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 838.0 191.0 483.0 1 733.0 0 807.0 622.0 2 887.0 374.0 1 323.0 765.0 127.0 0 173.0 3 249.9 673.3 1 458.2 603.3 0 0 0 0 0 0 0 0 0
Short Term Debt 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 6.9 17.5 0 0 15.0 59.4 62.8 66.3 106.7 0 0 0 0
Other Current Liabilities (577.0) (698.0) (4 339.0) (4 661.0) (5 370.0) (4 020.0) (4 745.0) (5 387.0) (4 340.0) (5 293.0) (3 718.0) 0 (3 451.0) (2 160.0) (2 136.0) (2 934.0) (2 531.0) (3 269.0) (3 199.0) (5 470.0) (2 563.0) (3 687.0) (2 856.0) (2 021.0) (1 511.0) (2 038.0) (5 084.1) (1 871.9) (2 855.9) (1 995.7) (15.0) (59.4) (62.8) (66.3) (106.7) 0 0 0 0
Total Current Liabilities 0 1 296.0 4 339.0 4 661.0 5 370.0 4 020.0 4 745.0 5 387.0 4 340.0 300.0 3 718.0 3 858.0 838.0 191.0 483.0 (238.0) 808.0 807.0 622.0 2 887.0 374.0 1 323.0 31 261.0 31 490.0 32 082.0 26 835.0 25 519.0 22 569.0 22 907.0 18 350.0 15.0 59.4 62.8 66.3 106.7 0 0 0 0
Long Term Debt 7 364.0 7 589.0 7 956.0 7 899.0 6 569.0 5 765.0 5 289.0 5 360.0 4 971.0 5 299.0 4 903.0 4 352.0 3 285.0 3 038.0 2 599.0 1 721.0 2 281.0 1 426.0 1 395.0 1 429.0 1 409.0 1 283.0 1 207.0 1 079.0 1 111.0 596.0 516.3 336.0 327.3 184.9 107.0 66.4 76.0 91.5 107.2 77.3 36.8 24.0 40.5
Deferred Tax Income 0 6 182.0 12 219.0 12 906.0 11 571.0 8 688.0 9 828.0 6 894.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 97 375.0 104 009.0 0 0 0 111 179.0 107 330.0 103 977.0 95 577.0 96 121.0 101 784.0 99 444.0 (3 285.0) (3 038.0) (2 599.0) (1 721.0) (2 281.0) (1 426.0) (1 395.0) (1 429.0) (1 409.0) (1 283.0) (1 207.0) (31.0) (20.0) (18.0) (516.3) (8.0) (327.3) (184.9) (107.0) (66.4) (76.0) (91.5) (107.2) (77.3) (36.8) (24.0) (40.5)
Total Liabilities 108 893.0 111 598.0 7 956.0 7 899.0 6 569.0 116 944.0 112 852.0 109 337.0 100 914.0 101 051.0 106 687.0 115 116.0 103 596.0 89 983.0 75 689.0 72 692.0 57 010.0 51 464.0 48 434.0 51 753.0 44 318.0 38 664.0 32 435.0 32 538.0 33 173.0 27 413.0 26 023.5 22 897.2 23 203.8 18 535.3 14 077.0 10 819.5 9 221.0 7 243.8 5 813.2 5 431.4 4 481.4 2 855.9 1 931.8
EQUITY
Common Stock 136.0 135.0 135.0 135.0 135.0 135.0 67.0 67.0 67.0 67.0 67.0 67.0 66.0 66.0 66.0 66.0 66.0 66.0 65.0 65.0 65.0 65.0 65.0 32.0 32.0 32.0 15.8 15.7 15.6 10.4 10.0 0 0 0 0 0 0 0 0
Retained Earnings 47 993.0 44 367.0 41 381.0 37 984.0 34 291.0 31 788.0 29 895.0 25 981.0 24 007.0 22 156.0 19 885.0 17 387.0 15 583.0 14 194.0 12 410.0 11 306.0 10 637.0 9 304.0 8 048.0 6 992.0 5 885.0 5 244.0 4 542.0 3 956.0 3 356.0 2 862.0 2 442.3 1 917.8 1 577.6 1 277.5 1 030.0 814.4 666.3 547.8 457.4 400.2 311.5 227.5 143.3
Other Accumulative Comprehensive Income/Loss (5 520.0) (6 429.0) 7 393.0 8 934.0 6 615.0 2 151.0 4 028.0 2 630.0 625.0 1 979.0 (563.0) 2 715.0 2 090.0 862.0 29.0 (582.0) 934.0 1 426.0 1 957.0 2 609.0 2 493.0 2 630.0 2 091.0 1 668.0 1 264.0 1 551.0 1 558.8 509.9 696.1 402.9 123.0 0 0 0 0 0 0 0 0
Total Equity 21 985.0 20 140.0 33 253.0 33 559.0 28 959.0 23 462.0 24 365.0 20 482.0 17 382.0 18 716.0 14 620.0 15 978.0 13 506.0 11 056.0 8 417.0 6 639.0 8 795.0 8 341.0 7 927.0 7 573.0 6 646.0 6 394.0 5 425.0 4 694.0 3 868.0 3 770.0 3 430.5 2 125.6 2 134.1 1 751.8 1 366.0 1 081.9 923.5 791.0 702.2 642.4 549.1 446.1 339.6
Total Liabilities and Equity 130 878.0 131 738.0 157 542.0 165 086.0 152 768.0 140 406.0 137 217.0 129 819.0 118 296.0 119 767.0 121 307.0 131 094.0 117 102.0 101 039.0 84 106.0 79 331.0 65 805.0 59 805.0 56 361.0 59 326.0 50 964.0 45 058.0 37 860.0 37 232.0 37 041.0 31 183.0 29 454.0 25 022.8 25 338.0 20 287.1 15 443.0 11 901.4 10 144.5 8 034.8 6 515.4 6 073.8 5 030.5 3 302.0 2 271.4
SHARES OUTSTANDING
Common Shares Outstanding 596.2 634.8 673.6 713.7 742.4 769.6 792.0 822.9 861.3 902.4 929.0 933.7 933.0 938.1 933.1 946.8 975.7 991.2 1 001.9 1 014.7 1 026.4 1 035.1 1 050.2 1 061.2 1 063.5 1 065.2 1 083.3 1 109.9 1 163.7 1 237.2 1 261.8 1 222.7 1 189.6 1 172.0 1 154.3 1 210.0 1 166.2 1 203.1 1 204.4