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Financial Services - Insurance - Life - NYSE - US
$ 24.53
0.245 %
$ 57.3 B
Market Cap
3.14
P/E
BALANCE SHEET
688 B ASSETS
3.15%
657 B LIABILITIES
2.82%
30 B EQUITY
11.00%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition MetLife, Inc.
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Current Assets 302 B
Cash & Short-Term Investments 302 B
Receivables 0
Other Current Assets 0
Non-Current Assets 325 B
Long-Term Investments 313 B
PP&E 0
Other Non-Current Assets 11.8 B
Current Liabilities 505 M
Accounts Payable 0
Short-Term Debt 119 M
Other Current Liabilities 386 M
Non-Current Liabilities 657 B
Long-Term Debt 18.7 B
Other Non-Current Liabilities 639 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
ASSETS
Cash & Cash Equivalents 20 639.0 20 195.0 20 047.0 19 795.0 16 598.0 15 821.0 12 701.0 17 877.0 12 752.0 10 808.0 7 585.0 15 738.0 10 461.0 13 046.0 10 112.0 24 207.0 10 368.0 7 107.0 4 018.0 4 051.0 3 733.0 2 323.0 7 473.0 3 434.0 2 789.0 3 301.0
Short Term Investments 287 457.0 281 715.0 347 450.0 358 713.0 331 670.0 303 642.0 316 314.0 361 893.0 364 022.0 377 677.0 367 544.0 394 063.0 17 310.0 9 387.0 8 374.0 13 878.0 2 648.0 2 709.0 3 306.0 2 663.0 1 826.0 1 921.0 1 203.0 1 269.0 0 0
Receivables 0 17 406.0 17 333.0 17 870.0 20 443.0 0 0 0 0 0 21 859.0 21 634.0 22 481.0 19 830.0 17 068.0 16 973.0 14 607.0 14 490.0 12 186.0 6 696.0 7 047.0 7 669.0 6 437.0 8 343.0 0 0
Inventory 0 0 (55 364.0) (59 892.0) (62 374.0) (1 440.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 54 113.0 0 0 0 0 0 0 0 0 63 684.0 395 393.0 737 438.0 676 862.0 498 713.0 441 612.0 526 029.0 498 512.0 0 0 0 0 0 0 0 0
Total Current Assets 302 051.0 296 975.0 384 830.0 396 378.0 368 711.0 23 340.0 21 095.0 29 675.0 26 039.0 23 549.0 370 472.0 826 828.0 787 690.0 719 125.0 534 267.0 496 670.0 553 652.0 522 818.0 19 510.0 13 410.0 12 606.0 11 913.0 15 113.0 13 046.0 2 789.0 3 301.0
PP&E 0 1 861.0 375 328.0 381 685.0 354 041.0 (5 414.0) (6 767.0) (9 367.0) (10 188.0) (11 167.0) (5 981.0) 1 200.0 0 0 0 (4 927.0) 0 (2 278.0) 0 0 0 0 0 0 0 0
Intangible Assets 0 25 459.0 18 333.0 18 688.0 19 068.0 20 179.0 19 678.0 18 799.0 25 549.0 25 889.0 28 281.0 26 437.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 9 236.0 9 297.0 9 535.0 10 112.0 9 308.0 9 422.0 9 590.0 9 220.0 9 477.0 9 872.0 10 542.0 9 953.0 11 935.0 11 580.0 5 047.0 5 008.0 4 910.0 4 897.0 4 797.0 0 0 0 0 0 0 0
Long Term Investments 313 309.0 307 481.0 375 486.0 382 581.0 353 830.0 322 871.0 322 022.0 368 671.0 371 118.0 385 762.0 374 945.0 400 751.0 388 872.0 358 866.0 241 484.0 206 272.0 8 698.0 7 840.0 236 694.0 181 614.0 171 176.0 143 822.0 119 664.0 116 441.0 0 0
Other Long Term Assets (325 157.0) (309 342.0) (385 021.0) (392 693.0) (363 138.0) 331 905.0 367 185.0 491 198.0 470 895.0 482 500.0 128 675.0 (400 751.0) (388 872.0) (358 665.0) (241 484.0) (206 272.0) (8 698.0) (7 840.0) (241 491.0) (181 614.0) (171 176.0) (143 822.0) (119 664.0) (116 441.0) 0 0
Other Assets 60 376.0 357 509.0 (10 143.0) 6 075.0 8 614.0 0 0 0 0 0 0 0 0 (201.0) 0 0 0 0 220 644.0 161 784.0 143 059.0 121 650.0 122 121.0 125 531.0 225 232.0 215 346.0
Total Assets 687 584.0 666 611.0 759 708.0 795 146.0 740 463.0 687 538.0 719 892.0 898 764.0 877 933.0 902 337.0 885 296.0 836 781.0 799 625.0 730 705.0 539 314.0 501 678.0 558 562.0 527 715.0 481 645.0 356 808.0 326 841.0 277 385.0 256 898.0 255 018.0 225 232.0 215 346.0
LIABILITIES
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 789.0 2 023.0 917.0 1 071.0 1 049.0 18 892.0 13 707.0 13 383.0 0 0
Short Term Debt 119.0 175.0 341.0 393.0 235.0 268.0 477.0 242.0 100.0 100.0 175.0 100.0 686.0 306.0 912.0 2 659.0 667.0 1 449.0 1 414.0 1 445.0 3 642.0 1 161.0 355.0 1 085.0 4 180.0 3 572.0
Other Current Liabilities (309.0) (3 047.0) (525.0) (522.0) (598.0) (709.0) (788.0) (262.0) (261.0) (284.0) (361.0) (501.0) (193.0) (622.0) (912.0) (342.0) (789.0) (3 488.0) (2 400.0) (2 937.0) (5 343.0) (20 822.0) (14 368.0) (14 580.0) (4 180.0) (3 572.0)
Total Current Liabilities 505.0 217.0 341.0 393.0 235.0 618 825.0 642 391.0 811 845.0 788 776.0 810 812.0 801 925.0 750 107.0 712 981.0 651 536.0 489 782.0 464 519.0 509 281.0 480 158.0 440 522.0 326 572.0 299 989.0 254 310.0 235 952.0 235 113.0 209 028.0 197 576.0
Long Term Debt 18 709.0 17 861.0 17 089.0 17 756.0 16 616.0 15 976.0 18 830.0 19 610.0 21 217.0 19 479.0 21 846.0 22 287.0 26 884.0 36 074.0 21 708.0 13 425.0 13 175.0 12 909.0 12 022.0 7 346.0 5 703.0 4 425.0 3 628.0 2 353.0 2 494.0 0
Deferred Tax Income 927.0 325.0 9 693.0 11 008.0 9 097.0 5 414.0 6 767.0 9 367.0 10 592.0 11 821.0 6 643.0 8 693.0 7 535.0 0 0 0 2 457.0 2 278.0 1 706.0 2 473.0 2 399.0 1 625.0 1 526.0 752.0 0 0
Other Liabilities 637 695.0 614 761.0 665 177.0 691 565.0 648 368.0 618 604.0 634 637.0 811 452.0 788 220.0 810 199.0 800 467.0 (22 287.0) 711 779.0 (36 074.0) (21 708.0) 461 860.0 509 541.0 479 559.0 (13 728.0) (9 819.0) (2 399.0) (6 050.0) (5 154.0) (3 105.0) (2 494.0) 0
Total Liabilities 657 331.0 639 324.0 691 959.0 720 329.0 674 081.0 634 580.0 661 022.0 831 284.0 809 437.0 829 678.0 822 313.0 771 823.0 739 349.0 681 709.0 505 816.0 477 944.0 523 383.0 493 917.0 452 544.0 333 984.0 305 692.0 258 735.0 239 580.0 237 539.0 211 542.0 200 479.0
EQUITY
Common Stock 12.0 12.0 12.0 12.0 12.0 12.0 12.0 12.0 12.0 12.0 11.0 11.0 11.0 10.0 8.0 8.0 8.0 8.0 8.0 8.0 8.0 8.0 8.0 8.0 0 0
Retained Earnings 40 146.0 41 953.0 41 197.0 36 491.0 33 078.0 28 926.0 26 527.0 34 480.0 35 519.0 32 020.0 27 332.0 25 205.0 27 289.0 21 363.0 19 501.0 22 403.0 19 884.0 16 574.0 10 865.0 6 608.0 4 193.0 2 807.0 1 349.0 1 021.0 14 100.0 13 483.0
Other Accumulative Comprehensive Income/Loss (19 242.0) (27 083.0) 10 919.0 18 072.0 13 052.0 1 722.0 7 427.0 5 347.0 4 771.0 10 649.0 5 104.0 11 397.0 5 886.0 1 000.0 (3 058.0) (14 253.0) 1 078.0 1 118.0 1 912.0 2 956.0 2 792.0 2 007.0 1 673.0 1 047.0 (410.0) 1 384.0
Total Equity 30 253.0 27 287.0 67 749.0 74 817.0 66 382.0 52 958.0 58 870.0 67 480.0 68 496.0 72 659.0 62 983.0 64 958.0 60 276.0 48 996.0 33 498.0 23 734.0 35 179.0 33 798.0 29 101.0 22 824.0 21 149.0 18 650.0 17 318.0 17 479.0 13 690.0 14 867.0
Total Liabilities and Equity 687 584.0 666 611.0 759 708.0 795 146.0 740 463.0 687 538.0 719 892.0 898 764.0 877 933.0 902 337.0 885 296.0 836 781.0 799 625.0 730 705.0 539 314.0 501 678.0 558 562.0 527 715.0 481 645.0 356 808.0 326 841.0 277 385.0 256 898.0 255 018.0 225 232.0 215 346.0
SHARES OUTSTANDING
Common Shares Outstanding 762.4 803.2 862.7 907.8 937.6 958.6 1 043.6 1 095.5 1 098.0 1 131.9 1 114.8 1 070.8 1 058.0 985.8 817.3 716.7 744.2 761.3 749.0 751.5 739.4 703.9 739.1 627.0 782.4 782.4 745.0 745.0 745.0