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Financial Services - Insurance - Life - NYSE - GB
$ 21.69
-0.413 %
$ 28.1 B
Market Cap
12.91
P/E
BALANCE SHEET
182 B ASSETS
4.49%
163 B LIABILITIES
4.56%
17.5 B EQUITY
-1.86%
BALANCE SHEET DECOMPOSITION
Balance Sheet Prudential plc
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Current Assets 2.21 B
Cash & Short-Term Investments 2.44 B
Receivables 2.21 B
Other Current Assets -2.44 B
Non-Current Assets 180 B
Long-Term Investments 158 B
PP&E 417 M
Other Non-Current Assets 21.6 B
86.66 %11.89 %Total Assets$181.9b
Current Liabilities 4.35 B
Accounts Payable 0
Short-Term Debt 527 M
Other Current Liabilities 3.82 B
Non-Current Liabilities 0
Long-Term Debt 4.2 B
Other Non-Current Liabilities -4.2 B
12.11 %87.89 %96.41 %Total Liabilities$4.4b

Balance Sheet

Millions
Dec-2024 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 2 445.0 1 590.0 1 809.0 7 170.0 8 018.0 1 880.4 5 484.3 328.0 201.2 365.0 304.0 4 174.4 9 899.6 6 678.0 10 234.3 5 072.0 8 720.5 9 818.5 9 935.2 6 170.4 8 326.3 2 035.7 1 749.2 1 907.8 1 801.3 8 413.7 7 637.1 6 463.7 4 721.4 2 867.9 2 398.3 4 286.7 3 708.3 4 432.8 4 031.9 3 073.2 2 525.4 2 722.4 1 855.7 1 295.1
Short Term Investments 0 0 0 226.0 36 033.0 57 091.0 0 0 0 0 0 0 (137 181.6) 0 (92 974.1) (89 082.6) (58 218.6) (171 438.7) (158 601.5) 6 674.6 4 866.1 11 553.6 12 160.7 7 727.1 6 661.5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 2 212.0 0 0 0 0 0 0 0 0 0 117.0 244.0 254.0 0 555.0 636.0 0 0 0 231.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 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 0 0 0 0
Other Current Assets 18 512.0 (1 590.0) (1 809.0) (7 170.0) (44 051.0) 0 0 0 0 0 0 0 22 816.0 20 961.0 20 284.0 21 487.0 16 932.0 16 087.0 15 535.0 14 540.0 12 692.0 (13 589.3) (13 910.0) (9 634.9) (8 462.8) (8 413.7) (7 637.1) (6 463.7) (4 721.4) (2 867.9) (2 398.3) (4 286.7) (3 708.3) (4 432.8) (4 031.9) (3 073.2) (2 525.4) (2 722.4) (1 855.7) (1 295.1)
Total Current Assets 2 212.0 0 0 0 0 1 880.4 5 484.3 247.2 201.2 247.0 189.3 4 174.4 29 196.0 27 639.0 27 133.0 27 195.0 22 718.0 16 087.0 15 535.0 18 357.0 12 692.0 0.286 0.667 0.0974 0.576 0.328 0.0632 0.809 0.783 0.714 0.927 0.941 0.0109 0.22 0.55 0.707 0.558 0.000075 0.962 0.309
PP&E 417.0 374.0 437.0 495.0 893.0 804.0 1 048.9 594.7 605.1 810.0 609.0 566.0 754.0 748.0 612.0 367.0 635.0 1 012.0 1 133.0 910.0 967.0 19 833.6 17 673.8 15 596.4 15 818.8 14 562.6 12 347.9 10 626.2 8 413.5 7 264.0 6 983.7 6 116.5 5 939.4 8 229.5 9 972.2 9 664.0 9 290.0 7 681.8 5 195.6 4 699.4
Intangible Assets 3 824.0 3 986.0 3 884.0 4 015.0 20 345.0 13 192.5 11 722.5 11 011.0 10 807.0 8 472.0 7 322.0 5 367.0 309.0 9 121.5 426.0 66.0 254.8 79.0 1 626.1 361.0 5 834.7 4 744.6 2 586.3 3 991.4 3 855.0 2 559.2 97.9 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 848.0 896.0 890.0 907.0 961.0 731.5 1 855.2 1 482.0 1 628.0 1 648.0 1 649.0 1 638.0 1 647.0 2 274.6 2 262.6 1 434.0 1 963.8 1 533.0 2 627.3 1 760.0 4 306.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 157 613.0 151 612.0 137 255.0 163 934.0 191 550.0 386 308.0 0 0 0 0 0 0 397 076.6 337 482.9 322 319.1 284 984.6 239 660.6 361 800.7 336 192.5 272 455.1 255 825.1 181 241.1 155 810.6 142 025.2 142 012.2 210 193.2 169 234.0 152 697.9 115 219.0 99 479.3 87 328.6 82 600.1 66 931.6 63 871.1 52 622.0 47 373.1 41 207.1 37 374.7 29 704.9 21 763.9
Other Long Term Assets (162 844.0) (157 024.0) (142 606.0) (169 483.0) (218 607.0) (60 034.7) 354 113.9 354 576.4 369 948.3 250 702.5 220 138.2 188 781.9 (402 092.6) (349 628.5) (5 488.6) (289 559.6) (5 739.6) (365 375.7) (6 398.4) (276 241.1) (11 934.8) (205 819.4) (176 070.7) (161 612.9) (161 686.0) (227 314.9) (181 679.8) (163 324.1) (123 632.6) (106 743.3) (94 312.3) (88 716.6) (72 870.9) (72 100.6) (62 594.2) (57 037.1) (50 497.2) (45 056.5) (34 900.5) (26 463.3)
Other Assets 181 876.0 174 066.0 160 249.0 188 232.0 516 097.0 111 332.4 269 612.9 295 883.7 197 313.8 311 440.1 344 746.9 336 932.9 497 154.2 46 888.1 53 076.0 56 098.2 53 262.8 57 178.2 72 480.5 66 122.3 76 745.2 286 866.1 245 330.4 226 186.0 228 557.8 243 695.8 197 171.5 178 904.6 134 327.2 115 784.4 102 549.9 96 373.0 79 711.2 80 141.1 70 497.1 62 751.8 55 567.2 49 603.7 38 124.2 28 815.9
Total Assets 181 876.0 174 066.0 160 249.0 188 232.0 516 097.0 454 214.0 647 810.0 668 203.0 580 503.4 573 319.6 574 654.5 537 460.2 300 790.0 419 230.5 402 528.1 368 277.7 315 641.3 435 065.9 424 208.0 356 934.4 345 262.4 286 483.9 247 099.4 225 825.7 228 148.5 243 695.8 197 171.5 178 904.6 134 327.2 115 784.4 102 549.9 96 373.0 79 711.2 80 141.1 70 497.1 62 751.8 55 567.2 49 603.7 38 124.2 28 815.9
LIABILITIES
Accounts Payable 0 0 2 874.0 0 1 284.0 2 831.0 3 010.0 0 3 109.2 2 708.2 2 227.3 1 911.2 1 769.5 0 0 0 2 190.8 2 022.8 2 739.0 2 543.2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Short Term Debt 527.0 699.0 862.0 904.0 907.0 0 0 0 0 0 0 0 3 852.6 0 6 791.0 5 698.0 0 0 0 0 2 556.0 0 2 631.3 0 2 496.3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 3 586.0 (974.0) (3 944.0) (1 089.0) (2 471.0) (2 736.3) 10 501.0 (726.0) (2 900.0) (2 498.1) (2 561.2) (2 021.1) 2 797.9 (930.0) 3 738.0 2 831.0 8 239.2 6 953.2 (4 042.0) (3 505.2) 3 654.0 0 (2 631.3) 0 (2 496.3) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Liabilities 4 351.0 0 0 0 19 337.2 490.7 14 234.0 726.0 1 009.9 691.6 626.4 541.4 8 863.0 5 086.0 11 360.0 9 744.0 11 272.0 10 213.0 4 148.0 4 371.0 7 228.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Debt 4 195.0 4 175.0 4 214.0 7 335.0 8 170.0 5 351.4 6 316.1 7 660.2 6 933.7 4 774.2 3 745.9 3 871.6 7 082.9 4 457.0 11 182.4 5 213.0 7 723.4 13 016.4 9 486.6 8 762.9 876.0 22 010.7 13 417.7 14 300.5 7 317.2 4 298.2 2 836.7 3 443.4 1 304.9 1 200.6 934.9 1 016.2 1 076.9 1 496.9 1 535.2 1 325.4 1 489.8 1 806.2 1 197.5 703.0
Deferred Tax Income 1 514.0 1 250.0 1 139.0 1 167.0 6 075.0 0 0 0 0 0 0 0 3 964.0 4 211.0 4 224.0 3 872.0 3 229.0 3 402.0 3 882.0 3 077.0 2 279.0 2 258.9 951.9 2 641.6 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities (5 709.0) (5 425.0) (5 353.0) (8 502.0) (14 245.0) 322 191.6 351 255.6 351 523.2 363 300.7 247 646.1 218 179.7 190 176.6 (11 682.2) (8 668.0) (15 406.4) (9 085.0) (10 952.4) (16 418.4) (13 368.6) (11 839.9) (3 155.0) (24 269.6) (14 369.6) (16 942.0) (7 317.2) (4 298.2) (2 836.7) (3 443.4) (1 304.9) (1 200.6) (934.9) (1 016.2) (1 076.9) (1 496.9) (1 535.2) (1 325.4) (1 489.8) (1 806.2) (1 197.5) (703.0)
Total Liabilities 163 202.0 156 083.0 143 351.0 169 121.0 493 978.0 434 545.0 625 819.0 646 432.0 562 407.2 554 125.2 556 269.5 521 545.8 290 426.0 405 867.3 390 065.1 358 085.8 308 153.8 422 841.8 413 197.2 347 701.1 336 126.7 277 326.8 239 242.4 217 160.0 218 507.3 238 156.8 191 778.6 174 304.0 129 605.8 113 084.9 100 575.3 95 207.4 78 945.3 79 265.4 69 518.7 61 444.2 54 467.0 48 654.2 37 256.3 28 010.9
EQUITY
Common Stock 176.0 183.0 182.0 182.0 173.0 129.8 97.0 174.3 105.1 189.6 199.2 78.8 206.8 197.2 196.0 205.4 183.1 243.9 239.0 204.8 119.0 178.6 161.1 145.3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Retained Earnings 11 906.0 11 928.0 10 653.0 12 064.0 14 424.0 10 385.8 21 817.0 9 479.4 9 095.6 15 461.0 13 678.2 12 243.8 11 071.2 8 141.8 7 689.2 6 409.8 5 277.7 8 529.5 0 6 041.4 5 393.6 8 164.3 4 865.4 7 587.6 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Accumulative Comprehensive Income/Loss 0 0 0 0 0 2 343.9 (1 974.4) 0 1 668.0 0 0 0 0 0 0 0 0 0 0 275.0 (202.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Equity 18 674.0 17 983.0 16 898.0 19 111.0 22 119.0 14 895.0 21 991.0 21 771.0 14 667.2 19 194.4 18 385.0 15 914.5 16 745.2 13 363.2 12 439.0 10 172.2 7 487.5 12 123.8 10 884.1 5 366.0 8 747.2 9 348.2 8 031.1 8 845.9 9 845.9 5 539.0 5 393.0 4 600.6 4 721.4 2 699.5 1 974.6 1 165.6 765.9 875.7 978.4 1 307.6 1 100.3 949.5 868.0 805.0
Total Liabilities and Equity 181 876.0 174 066.0 160 249.0 188 232.0 516 097.0 342 881.6 647 810.0 668 203.0 580 503.4 573 319.6 574 654.5 537 460.2 300 790.0 419 230.5 402 528.1 368 277.7 315 641.3 435 065.9 424 208.0 356 934.4 345 262.4 286 483.9 247 099.4 225 825.7 228 148.5 243 695.8 197 171.5 178 904.6 134 327.2 115 784.4 102 549.9 96 373.0 79 711.2 80 141.1 70 497.1 62 751.8 55 567.2 49 603.7 38 124.2 28 815.9
SHARES OUTSTANDING
Common Shares Outstanding 1 357.5 685.2 684.0 657.0 649.2 1 293.5 1 287.5 1 284.4 1 280.7 1 276.5 1 274.5 1 274.0 1 270.5 1 266.5 1 262.0 1 250.5 1 236.0 1 222.5 1 206.5 1 182.5 1 060.5 0 0 0 509.9