US Stock MarketDetailed Quotes

AAIGF AIA GROUP LIMITED

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  • 6.730
  • +0.120+1.82%
15min DelayClose Apr 26 16:00 ET
75.61BMarket Cap20.39P/E (TTM)

AIA GROUP LIMITED Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
-Net loan
-17.43%919M
-17.43%919M
-84.33%727M
-88.05%1.11B
-88.05%1.11B
-2.05%4.64B
88.79%9.31B
--9.31B
-7.90%4.74B
5.75%4.93B
-Short term investments
2.97%88.61B
2.97%88.61B
-35.01%85.17B
-46.58%86.06B
-46.58%86.06B
-17.74%131.04B
-2.43%161.09B
--161.09B
8.27%159.3B
18.91%165.11B
Cash and cash equivalents
43.70%11.53B
43.70%11.53B
-3.08%6.67B
60.75%8.02B
60.75%8.02B
-3.79%6.88B
-11.21%4.99B
--4.99B
20.15%7.15B
42.58%5.62B
Restricted cash and cash equivalents
-2.36%372M
-2.36%372M
----
--381M
--381M
----
----
----
----
----
-Accounts receivable
--1.29B
--1.29B
----
----
----
----
----
----
----
23.90%2.65B
-Taxes receivable
76.92%207M
76.92%207M
67.86%188M
-2.50%117M
-2.50%117M
25.84%112M
16.50%120M
--120M
-58.99%89M
-49.76%103M
-Other receivables
26.48%49.88B
26.48%49.88B
6.77%42.72B
-1.89%39.44B
-1.89%39.44B
2,388.12%40.01B
23.42%40.2B
--40.2B
-3.60%1.61B
847.85%32.57B
Prepaid assets
----
----
----
----
----
----
----
----
----
--0
Deferred policy acquisition costs
----
----
----
----
----
2.65%29.13B
2.84%28.71B
--28.71B
8.28%28.37B
6.03%27.92B
Net PPE
42.69%4.06B
42.69%4.06B
46.97%4.03B
3.64%2.84B
3.64%2.84B
1.37%2.74B
0.81%2.74B
--2.74B
0.19%2.7B
-4.99%2.72B
Goodwill and other intangible assets
10.31%3.62B
10.31%3.62B
11.05%3.48B
12.46%3.28B
12.46%3.28B
21.92%3.13B
10.63%2.91B
--2.91B
5.76%2.57B
4.52%2.63B
-Goodwill
8.61%1.93B
8.61%1.93B
14.17%1.99B
-4.00%1.78B
-4.00%1.78B
8.46%1.74B
11.78%1.85B
--1.85B
7.06%1.61B
6.71%1.66B
-Other intangible assets
12.33%1.69B
12.33%1.69B
7.13%1.49B
41.07%1.5B
41.07%1.5B
44.39%1.39B
8.68%1.06B
--1.06B
3.66%962M
1.03%979M
Defined pension benefit
--57M
--57M
----
----
----
----
----
----
----
4.55%46M
Other assets
-74.96%1.13B
-74.96%1.13B
-33.86%4.11B
-44.06%4.52B
-44.06%4.52B
-0.86%6.22B
308.02%8.09B
--8.09B
8.23%6.27B
-17.14%1.98B
Total assets
5.86%286.32B
5.86%286.32B
-8.49%275.91B
-20.42%270.47B
-20.42%270.47B
-8.60%301.52B
4.22%339.87B
--339.87B
13.29%329.89B
14.78%326.12B
Liabilities
Payables
770.45%4.07B
770.45%4.07B
-33.74%383M
20.05%467M
20.05%467M
29.60%578M
-94.12%389M
--389M
30.41%446M
-19.09%6.62B
-Accounts payable
--3.68B
--3.68B
----
----
----
----
----
----
----
-19.04%6.27B
-Total tax payable
-17.13%387M
-17.13%387M
-33.74%383M
20.05%467M
20.05%467M
29.60%578M
12.43%389M
--389M
30.41%446M
-19.91%346M
-Reinsurance balances payable
-12.50%336M
-12.50%336M
--223M
--384M
--384M
----
----
----
----
----
Long term provisions
13.73%174M
13.73%174M
-17.55%155M
-21.13%153M
-21.13%153M
-16.44%188M
-15.65%194M
--194M
-3.02%225M
2.22%230M
Long term debt and capital lease obligation
8.56%12.17B
8.56%12.17B
9.40%11.31B
16.88%11.21B
16.88%11.21B
12.59%10.34B
5.82%9.59B
--9.59B
33.34%9.18B
43.53%9.06B
-Long term debt
5.30%11.8B
5.30%11.8B
9.40%11.31B
16.88%11.21B
16.88%11.21B
12.59%10.34B
12.02%9.59B
--9.59B
33.34%9.18B
48.67%8.56B
-Long term capital lease obligation
--365M
--365M
----
----
----
----
----
----
----
-9.71%502M
Derivative product liabilities
-6.98%8.04B
-6.98%8.04B
11.38%7.62B
520.55%8.64B
520.55%8.64B
272.77%6.84B
38.78%1.39B
--1.39B
100.66%1.84B
143.45%1B
Other liabilities
-28.39%4.31B
-28.39%4.31B
-36.48%6.22B
-40.55%6.01B
-40.55%6.01B
-17.19%9.78B
276.05%10.11B
--10.11B
28.12%11.82B
-8.60%2.69B
Total liabilities
8.61%244.73B
8.61%244.73B
-10.17%233.64B
-19.22%225.32B
-19.22%225.32B
-3.84%260.08B
6.28%278.94B
--278.94B
15.61%270.47B
14.74%262.45B
Shareholders'equity
Share capital
0.04%14.18B
0.04%14.18B
0.08%14.18B
0.08%14.17B
0.08%14.17B
0.03%14.16B
0.04%14.16B
--14.16B
0.17%14.16B
0.18%14.16B
-common stock
0.04%14.18B
0.04%14.18B
0.08%14.18B
0.08%14.17B
0.08%14.17B
0.03%14.16B
0.04%14.16B
--14.16B
0.17%14.16B
0.18%14.16B
Retained earnings
-4.66%44.33B
-4.66%44.33B
-2.82%45.11B
-6.97%46.5B
-6.97%46.5B
0.06%46.42B
11.81%49.98B
--49.98B
11.34%46.39B
9.24%44.7B
Other equity interest
-26.55%-367M
-26.55%-367M
-26.90%-368M
-28.89%-290M
-28.89%-290M
-28.89%-290M
-45.16%-225M
---225M
-45.16%-225M
29.55%-155M
Total stockholders'equity
-7.97%41.11B
-7.97%41.11B
1.93%41.79B
-26.12%44.67B
-26.12%44.67B
-30.44%41B
-4.32%60.47B
--60.47B
3.77%58.94B
15.02%63.2B
Noncontrolling interests
1.47%483M
1.47%483M
10.73%485M
1.93%476M
1.93%476M
-7.40%438M
-0.21%467M
--467M
4.88%473M
4.46%468M
Total equity
-7.87%41.59B
-7.87%41.59B
2.02%42.28B
-25.91%45.15B
-25.91%45.15B
-30.26%41.44B
-4.29%60.93B
--60.93B
3.78%59.42B
14.93%63.67B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
-Net loan -17.43%919M-17.43%919M-84.33%727M-88.05%1.11B-88.05%1.11B-2.05%4.64B88.79%9.31B--9.31B-7.90%4.74B5.75%4.93B
-Short term investments 2.97%88.61B2.97%88.61B-35.01%85.17B-46.58%86.06B-46.58%86.06B-17.74%131.04B-2.43%161.09B--161.09B8.27%159.3B18.91%165.11B
Cash and cash equivalents 43.70%11.53B43.70%11.53B-3.08%6.67B60.75%8.02B60.75%8.02B-3.79%6.88B-11.21%4.99B--4.99B20.15%7.15B42.58%5.62B
Restricted cash and cash equivalents -2.36%372M-2.36%372M------381M--381M--------------------
-Accounts receivable --1.29B--1.29B----------------------------23.90%2.65B
-Taxes receivable 76.92%207M76.92%207M67.86%188M-2.50%117M-2.50%117M25.84%112M16.50%120M--120M-58.99%89M-49.76%103M
-Other receivables 26.48%49.88B26.48%49.88B6.77%42.72B-1.89%39.44B-1.89%39.44B2,388.12%40.01B23.42%40.2B--40.2B-3.60%1.61B847.85%32.57B
Prepaid assets --------------------------------------0
Deferred policy acquisition costs --------------------2.65%29.13B2.84%28.71B--28.71B8.28%28.37B6.03%27.92B
Net PPE 42.69%4.06B42.69%4.06B46.97%4.03B3.64%2.84B3.64%2.84B1.37%2.74B0.81%2.74B--2.74B0.19%2.7B-4.99%2.72B
Goodwill and other intangible assets 10.31%3.62B10.31%3.62B11.05%3.48B12.46%3.28B12.46%3.28B21.92%3.13B10.63%2.91B--2.91B5.76%2.57B4.52%2.63B
-Goodwill 8.61%1.93B8.61%1.93B14.17%1.99B-4.00%1.78B-4.00%1.78B8.46%1.74B11.78%1.85B--1.85B7.06%1.61B6.71%1.66B
-Other intangible assets 12.33%1.69B12.33%1.69B7.13%1.49B41.07%1.5B41.07%1.5B44.39%1.39B8.68%1.06B--1.06B3.66%962M1.03%979M
Defined pension benefit --57M--57M----------------------------4.55%46M
Other assets -74.96%1.13B-74.96%1.13B-33.86%4.11B-44.06%4.52B-44.06%4.52B-0.86%6.22B308.02%8.09B--8.09B8.23%6.27B-17.14%1.98B
Total assets 5.86%286.32B5.86%286.32B-8.49%275.91B-20.42%270.47B-20.42%270.47B-8.60%301.52B4.22%339.87B--339.87B13.29%329.89B14.78%326.12B
Liabilities
Payables 770.45%4.07B770.45%4.07B-33.74%383M20.05%467M20.05%467M29.60%578M-94.12%389M--389M30.41%446M-19.09%6.62B
-Accounts payable --3.68B--3.68B-----------------------------19.04%6.27B
-Total tax payable -17.13%387M-17.13%387M-33.74%383M20.05%467M20.05%467M29.60%578M12.43%389M--389M30.41%446M-19.91%346M
-Reinsurance balances payable -12.50%336M-12.50%336M--223M--384M--384M--------------------
Long term provisions 13.73%174M13.73%174M-17.55%155M-21.13%153M-21.13%153M-16.44%188M-15.65%194M--194M-3.02%225M2.22%230M
Long term debt and capital lease obligation 8.56%12.17B8.56%12.17B9.40%11.31B16.88%11.21B16.88%11.21B12.59%10.34B5.82%9.59B--9.59B33.34%9.18B43.53%9.06B
-Long term debt 5.30%11.8B5.30%11.8B9.40%11.31B16.88%11.21B16.88%11.21B12.59%10.34B12.02%9.59B--9.59B33.34%9.18B48.67%8.56B
-Long term capital lease obligation --365M--365M-----------------------------9.71%502M
Derivative product liabilities -6.98%8.04B-6.98%8.04B11.38%7.62B520.55%8.64B520.55%8.64B272.77%6.84B38.78%1.39B--1.39B100.66%1.84B143.45%1B
Other liabilities -28.39%4.31B-28.39%4.31B-36.48%6.22B-40.55%6.01B-40.55%6.01B-17.19%9.78B276.05%10.11B--10.11B28.12%11.82B-8.60%2.69B
Total liabilities 8.61%244.73B8.61%244.73B-10.17%233.64B-19.22%225.32B-19.22%225.32B-3.84%260.08B6.28%278.94B--278.94B15.61%270.47B14.74%262.45B
Shareholders'equity
Share capital 0.04%14.18B0.04%14.18B0.08%14.18B0.08%14.17B0.08%14.17B0.03%14.16B0.04%14.16B--14.16B0.17%14.16B0.18%14.16B
-common stock 0.04%14.18B0.04%14.18B0.08%14.18B0.08%14.17B0.08%14.17B0.03%14.16B0.04%14.16B--14.16B0.17%14.16B0.18%14.16B
Retained earnings -4.66%44.33B-4.66%44.33B-2.82%45.11B-6.97%46.5B-6.97%46.5B0.06%46.42B11.81%49.98B--49.98B11.34%46.39B9.24%44.7B
Other equity interest -26.55%-367M-26.55%-367M-26.90%-368M-28.89%-290M-28.89%-290M-28.89%-290M-45.16%-225M---225M-45.16%-225M29.55%-155M
Total stockholders'equity -7.97%41.11B-7.97%41.11B1.93%41.79B-26.12%44.67B-26.12%44.67B-30.44%41B-4.32%60.47B--60.47B3.77%58.94B15.02%63.2B
Noncontrolling interests 1.47%483M1.47%483M10.73%485M1.93%476M1.93%476M-7.40%438M-0.21%467M--467M4.88%473M4.46%468M
Total equity -7.87%41.59B-7.87%41.59B2.02%42.28B-25.91%45.15B-25.91%45.15B-30.26%41.44B-4.29%60.93B--60.93B3.78%59.42B14.93%63.67B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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