US Stock MarketDetailed Quotes

AEL American Equity Investment Life

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  • 56.220
  • +0.020+0.04%
Close Mar 28 16:00 ET
  • 56.220
  • 0.0000.00%
Post 16:20 ET
4.46BMarket Cap27.29P/E (TTM)

American Equity Investment Life Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
92.77%3.94B
-0.93%910.21M
-126.81%-217.89M
1,019.23%2.38B
769.34%865.04M
-51.72%2.04B
-74.45%918.72M
6,129.21%812.73M
39.71%212.86M
-78.91%99.51M
Net income from continuing operations
-88.97%211.92M
-1,507.25%-463.45M
7.02%476.11M
-53.47%355.15M
-122.94%-155.89M
247.29%1.92B
-80.87%32.93M
191.03%444.89M
1,495.56%763.29M
140.36%679.47M
Operating gains losses
182.57%135.2M
364.14%38.07M
181.66%44.67M
-25.83%24.68M
111.68%27.79M
261.34%47.85M
-237.54%-14.41M
421.51%15.86M
968.46%33.27M
186.43%13.13M
Deferred tax
-86.12%68.14M
-628.06%-124.96M
56.45%133.45M
-49.00%100.54M
-122.12%-40.9M
228.53%490.93M
-85.37%23.66M
315.06%85.3M
733.27%197.12M
215.89%184.84M
Other non cash items
2.87%-150.32M
391.06%206.11M
-415.52%-343.95M
46.04%-190.46M
11.22%177.98M
-164.15%-154.76M
-122.79%-70.82M
261.48%109.01M
-402.02%-352.98M
134.42%160.03M
Change in working capital
740.62%2.33B
10.90%607.08M
-343.67%-687.61M
1,010.55%2B
223.66%411.75M
-89.71%277.15M
-82.26%547.42M
186.84%282.2M
-9.67%-219.49M
-353.03%-332.98M
-Change In restricted cash
192.35%786.84M
793.82%481.13M
-315.14%-314.12M
193.34%435.74M
131.47%184.09M
-4,989.92%-851.97M
-71.34%53.83M
144.68%146.01M
-482.47%-466.84M
-347.28%-584.97M
-Change in accrued investment income
173.02%38.52M
-183.47%-15.69M
285.62%44.75M
204.54%9.03M
101.10%426K
-12.21%-52.75M
159.25%18.8M
-50.90%-24.11M
-167.91%-8.64M
-222.57%-38.81M
-Change in funds withheld
24.20%1.5B
-67.31%178.8M
341.29%696.29M
116.28%494.94M
-51.54%134.71M
-60.98%1.21B
-82.47%546.96M
2,627.36%157.78M
10,709.09%228.84M
3,771.35%277.96M
-Change in other current assets
-5,525.18%-154.73M
158.37%110.72M
-485.75%-60.6M
-858.41%-169.91M
-192.95%-34.94M
156.09%2.85M
1,490.40%42.85M
-362.66%-10.35M
-1,367.19%-17.73M
-922.90%-11.93M
-Change in other current liabilities
1,369.53%132.74M
-31.86%-208.29M
-1,258.30%-1.02B
16,646.65%1.22B
69.34%145.65M
104.03%9.03M
-90.46%-157.97M
985.33%88.36M
86.98%-7.37M
192.67%86.01M
-Change in other working capital
152.08%21.64M
40.66%60.41M
59.61%-30.49M
-81.05%9.9M
70.32%-18.18M
72.93%-41.55M
140.96%42.95M
-516.48%-75.5M
169.30%52.25M
-810.76%-61.25M
Cash from discontinued operating activities
Operating cash flow
92.77%3.94B
-0.93%910.21M
-126.81%-217.89M
1,021.48%2.38B
765.63%865.04M
-51.72%2.04B
-74.45%918.72M
6,129.21%812.73M
39.43%212.44M
-78.82%99.93M
Investing cash flow
Cash flow from continuing investing activities
283.09%4.49B
-630.69%-1.3B
1,355.43%5.21B
-18.11%-223.2M
132.89%804.5M
60.56%-2.45B
97.67%-177.89M
-62.33%358.19M
-157.30%-188.97M
-2,126.22%-2.45B
Net investment purchase and sale
1,182.08%5.56B
-204.26%-930.9M
739.71%5.36B
-81.17%65.9M
144.44%1.06B
88.19%-513.41M
114.53%892.84M
-32.49%637.9M
-42.10%350.01M
-1,068.81%-2.39B
Net proceeds payment for loan
40.63%-698.18M
88.43%-39.29M
51.19%-123.88M
47.53%-279.73M
-414.16%-255.28M
22.83%-1.18B
75.81%-339.5M
-2,167.32%-253.83M
-4,991.99%-533.08M
59.53%-49.65M
Net PPE purchase and sale
-22.27%-50.08M
-108.27%-14.05M
13.21%-22.47M
-58.82%-9.38M
-72.94%-4.19M
-126.19%-40.96M
-121.25%-6.75M
-391.05%-25.89M
2.66%-5.9M
34.91%-2.42M
Cash from discontinued investing activities
Investing cash flow
283.09%4.49B
-630.69%-1.3B
1,355.43%5.21B
-18.11%-223.2M
132.89%804.5M
60.56%-2.45B
97.67%-177.89M
-62.33%358.19M
-157.30%-188.97M
-2,126.22%-2.45B
Financing cash flow
Cash flow from continuing financing activities
73.30%-581.52M
109.48%63.55M
-254.65%-811.36M
16.07%-2.18B
-1,388.87%-670.14M
-116.35%-228.78M
Net issuance payments of debt
-102.53%-7.5M
----
----
---1.87M
---1.88M
--296.25M
----
----
--0
--0
Net common stock issuance
7.55%-288.98M
----
----
99.91%-168K
-511.44%-296.82M
-230.57%-312.59M
----
----
-97.72%-187.68M
3,492.73%72.14M
Cash dividends paid
40.88%-43.68M
----
----
0.00%-10.92M
0.00%-10.92M
1.66%-73.88M
----
----
0.00%-10.92M
0.00%-10.92M
Net other financing charges
88.44%-241.36M
----
----
116.23%76.51M
-73.01%-501.74M
13.92%-2.09B
----
----
-875.16%-471.54M
-120.60%-290M
Cash from discontinued financing activities
Financing cash flow
73.30%-581.52M
----
----
109.48%63.55M
-254.65%-811.36M
16.07%-2.18B
----
----
-1,388.87%-670.14M
-116.35%-228.78M
Net cash flow
Beginning cash position
-57.43%1.92B
----
----
43.64%2.78B
-57.43%1.92B
-50.43%4.51B
----
----
-82.56%1.93B
-50.43%4.51B
Current changes in cash
403.28%7.85B
32.44%-971.12M
177.46%5.74B
443.73%2.22B
133.33%858.18M
43.55%-2.59B
82.42%-1.44B
78.35%2.07B
-247.93%-646.67M
-229.30%-2.58B
End cash position
409.08%9.77B
----
----
288.48%5B
43.64%2.78B
-57.43%1.92B
----
----
-88.83%1.29B
-82.56%1.93B
Free cash flow
94.21%3.89B
-1.73%896.16M
-130.55%-240.36M
1,048.99%2.37B
782.85%860.85M
-52.48%2B
-74.62%911.98M
10,020.09%786.84M
41.17%206.54M
-79.17%97.51M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 92.77%3.94B-0.93%910.21M-126.81%-217.89M1,019.23%2.38B769.34%865.04M-51.72%2.04B-74.45%918.72M6,129.21%812.73M39.71%212.86M-78.91%99.51M
Net income from continuing operations -88.97%211.92M-1,507.25%-463.45M7.02%476.11M-53.47%355.15M-122.94%-155.89M247.29%1.92B-80.87%32.93M191.03%444.89M1,495.56%763.29M140.36%679.47M
Operating gains losses 182.57%135.2M364.14%38.07M181.66%44.67M-25.83%24.68M111.68%27.79M261.34%47.85M-237.54%-14.41M421.51%15.86M968.46%33.27M186.43%13.13M
Deferred tax -86.12%68.14M-628.06%-124.96M56.45%133.45M-49.00%100.54M-122.12%-40.9M228.53%490.93M-85.37%23.66M315.06%85.3M733.27%197.12M215.89%184.84M
Other non cash items 2.87%-150.32M391.06%206.11M-415.52%-343.95M46.04%-190.46M11.22%177.98M-164.15%-154.76M-122.79%-70.82M261.48%109.01M-402.02%-352.98M134.42%160.03M
Change in working capital 740.62%2.33B10.90%607.08M-343.67%-687.61M1,010.55%2B223.66%411.75M-89.71%277.15M-82.26%547.42M186.84%282.2M-9.67%-219.49M-353.03%-332.98M
-Change In restricted cash 192.35%786.84M793.82%481.13M-315.14%-314.12M193.34%435.74M131.47%184.09M-4,989.92%-851.97M-71.34%53.83M144.68%146.01M-482.47%-466.84M-347.28%-584.97M
-Change in accrued investment income 173.02%38.52M-183.47%-15.69M285.62%44.75M204.54%9.03M101.10%426K-12.21%-52.75M159.25%18.8M-50.90%-24.11M-167.91%-8.64M-222.57%-38.81M
-Change in funds withheld 24.20%1.5B-67.31%178.8M341.29%696.29M116.28%494.94M-51.54%134.71M-60.98%1.21B-82.47%546.96M2,627.36%157.78M10,709.09%228.84M3,771.35%277.96M
-Change in other current assets -5,525.18%-154.73M158.37%110.72M-485.75%-60.6M-858.41%-169.91M-192.95%-34.94M156.09%2.85M1,490.40%42.85M-362.66%-10.35M-1,367.19%-17.73M-922.90%-11.93M
-Change in other current liabilities 1,369.53%132.74M-31.86%-208.29M-1,258.30%-1.02B16,646.65%1.22B69.34%145.65M104.03%9.03M-90.46%-157.97M985.33%88.36M86.98%-7.37M192.67%86.01M
-Change in other working capital 152.08%21.64M40.66%60.41M59.61%-30.49M-81.05%9.9M70.32%-18.18M72.93%-41.55M140.96%42.95M-516.48%-75.5M169.30%52.25M-810.76%-61.25M
Cash from discontinued operating activities
Operating cash flow 92.77%3.94B-0.93%910.21M-126.81%-217.89M1,021.48%2.38B765.63%865.04M-51.72%2.04B-74.45%918.72M6,129.21%812.73M39.43%212.44M-78.82%99.93M
Investing cash flow
Cash flow from continuing investing activities 283.09%4.49B-630.69%-1.3B1,355.43%5.21B-18.11%-223.2M132.89%804.5M60.56%-2.45B97.67%-177.89M-62.33%358.19M-157.30%-188.97M-2,126.22%-2.45B
Net investment purchase and sale 1,182.08%5.56B-204.26%-930.9M739.71%5.36B-81.17%65.9M144.44%1.06B88.19%-513.41M114.53%892.84M-32.49%637.9M-42.10%350.01M-1,068.81%-2.39B
Net proceeds payment for loan 40.63%-698.18M88.43%-39.29M51.19%-123.88M47.53%-279.73M-414.16%-255.28M22.83%-1.18B75.81%-339.5M-2,167.32%-253.83M-4,991.99%-533.08M59.53%-49.65M
Net PPE purchase and sale -22.27%-50.08M-108.27%-14.05M13.21%-22.47M-58.82%-9.38M-72.94%-4.19M-126.19%-40.96M-121.25%-6.75M-391.05%-25.89M2.66%-5.9M34.91%-2.42M
Cash from discontinued investing activities
Investing cash flow 283.09%4.49B-630.69%-1.3B1,355.43%5.21B-18.11%-223.2M132.89%804.5M60.56%-2.45B97.67%-177.89M-62.33%358.19M-157.30%-188.97M-2,126.22%-2.45B
Financing cash flow
Cash flow from continuing financing activities 73.30%-581.52M109.48%63.55M-254.65%-811.36M16.07%-2.18B-1,388.87%-670.14M-116.35%-228.78M
Net issuance payments of debt -102.53%-7.5M-----------1.87M---1.88M--296.25M----------0--0
Net common stock issuance 7.55%-288.98M--------99.91%-168K-511.44%-296.82M-230.57%-312.59M---------97.72%-187.68M3,492.73%72.14M
Cash dividends paid 40.88%-43.68M--------0.00%-10.92M0.00%-10.92M1.66%-73.88M--------0.00%-10.92M0.00%-10.92M
Net other financing charges 88.44%-241.36M--------116.23%76.51M-73.01%-501.74M13.92%-2.09B---------875.16%-471.54M-120.60%-290M
Cash from discontinued financing activities
Financing cash flow 73.30%-581.52M--------109.48%63.55M-254.65%-811.36M16.07%-2.18B---------1,388.87%-670.14M-116.35%-228.78M
Net cash flow
Beginning cash position -57.43%1.92B--------43.64%2.78B-57.43%1.92B-50.43%4.51B---------82.56%1.93B-50.43%4.51B
Current changes in cash 403.28%7.85B32.44%-971.12M177.46%5.74B443.73%2.22B133.33%858.18M43.55%-2.59B82.42%-1.44B78.35%2.07B-247.93%-646.67M-229.30%-2.58B
End cash position 409.08%9.77B--------288.48%5B43.64%2.78B-57.43%1.92B---------88.83%1.29B-82.56%1.93B
Free cash flow 94.21%3.89B-1.73%896.16M-130.55%-240.36M1,048.99%2.37B782.85%860.85M-52.48%2B-74.62%911.98M10,020.09%786.84M41.17%206.54M-79.17%97.51M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

Analyst Rating

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Price Target

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