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ALIZY ALLIANZ SE UNSPON ADS EACH REP 1/10 ORD SHARES

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  • 28.370
  • +0.270+0.96%
15min DelayClose Apr 26 16:00 ET
111.06BMarket Cap12.48P/E (TTM)

ALLIANZ SE UNSPON ADS EACH REP 1/10 ORD SHARES Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
31.74%9.03B
-3.50%6.86B
-0.39%7.11B
-14.08%7.13B
7.78%8.3B
6.88%7.7B
-1.66%7.21B
4.89%7.33B
5.82%6.99B
13.73%1.5B
Other non cash items
223.04%2.13B
-124.45%-1.73B
26.95%7.08B
-3.36%5.58B
51.51%5.77B
-21.71%3.81B
6.68%4.87B
-14.21%4.56B
37.12%5.32B
45.87%1.38B
Change in working capital
164.12%4.36B
-158.03%-6.8B
-46.89%11.72B
-7.25%22.07B
95.41%23.79B
-46.03%12.18B
82.99%22.56B
-20.75%12.33B
-37.00%15.56B
-85.92%527M
-Change in other current assets
1,957.22%3.7B
102.10%180M
-299.74%-8.58B
553.33%4.29B
74.69%-947M
-169.51%-3.74B
207.64%5.38B
-428.54%-5B
-199.79%-946M
-365.00%-186M
-Change in other current liabilities
-96.89%13M
216.76%418M
-204.99%-358M
63.94%341M
-72.19%208M
-7.20%748M
99.50%806M
54.20%404M
2,720.00%262M
32.83%-133M
Cash from discontinued operating activities
Operating cash flow
36.26%24.46B
-28.55%17.95B
-21.61%25.12B
-12.07%32.05B
41.98%36.45B
-22.65%25.67B
54.64%33.19B
-9.31%21.46B
-26.59%23.66B
-27.64%4.18B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
-186.19%-9.19B
199.84%10.67B
46.77%-10.68B
3.50%-20.07B
-81.43%-20.8B
44.08%-11.46B
-14.69%-20.5B
4.57%-17.87B
23.17%-18.73B
54.46%-991M
Net PPE purchase and sale
-39.63%-1.95B
-9.22%-1.4B
3.25%-1.28B
-28.45%-1.32B
18.77%-1.03B
11.88%-1.27B
25.21%-1.44B
-1.00%-1.92B
-21.11%-1.91B
1.97%-497M
Net business purchase and sale
34.55%-858M
65.09%-1.31B
-195.20%-3.76B
-37.96%-1.27B
64.63%-922M
-36.71%-2.61B
-166.71%-1.91B
-103.13%-715M
53.81%-352M
77.07%-202M
Net other investing changes
-332.65%-228M
5.38%98M
-66.06%93M
346.85%274M
73.82%-111M
-3,361.54%-424M
-93.26%13M
137.04%193M
-0.19%-521M
26.95%-103M
Cash from discontinued investing activities
Investing cash flow
19.91%-12.01B
24.22%-14.99B
31.48%-19.78B
-4.21%-28.87B
-43.46%-27.7B
22.00%-19.31B
-25.25%-24.76B
3.08%-19.77B
24.26%-20.39B
2.93%-3.68B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-47.21%1.25B
1,039.68%2.37B
-114.29%-252M
88.56%1.76B
31.14%935M
-68.03%713M
22.87%2.23B
237.36%1.82B
210.93%538M
2,266.67%455M
Net common stock issuance
-67.96%-2.2B
-156.88%-1.31B
4.54%2.31B
44,000.00%2.21B
-68.75%5M
-61.90%16M
-4.55%42M
-31.25%44M
12.28%64M
8.16%53M
Cash dividends paid
-1.25%-4.93B
-14.05%-4.87B
-2.99%-4.27B
-2.07%-4.15B
-10.59%-4.06B
-0.33%-3.67B
-0.41%-3.66B
-7.81%-3.65B
-24.52%-3.38B
0.00%-67M
Net other financing charges
638.46%560M
91.13%-104M
-46.08%-1.17B
41.56%-803M
64.56%-1.37B
-6.57%-3.88B
-6,714.55%-3.64B
196.49%55M
-26.67%-57M
-6.59%85M
Cash from discontinued financing activities
Financing cash flow
-31.07%-5.72B
-15.35%-4.37B
-172.37%-3.79B
71.34%-1.39B
28.90%-4.85B
-35.69%-6.82B
-190.24%-5.03B
38.95%-1.73B
11.04%-2.84B
911.54%526M
Net cash flow
Beginning cash position
-4.74%22.9B
7.10%24.04B
4.82%22.44B
24.24%21.41B
-2.36%17.23B
22.04%17.65B
0.11%14.46B
4.21%14.45B
23.70%13.86B
16.84%13.62B
Current changes in cash
578.39%6.73B
-190.48%-1.41B
-13.08%1.56B
-54.07%1.79B
948.58%3.9B
-113.48%-459M
9,561.11%3.41B
-108.33%-36M
-79.58%432M
-49.66%1.03B
Effect of exchange rate changes
-274.63%-468M
24.07%268M
128.50%216M
-942.22%-758M
119.51%90M
105.47%41M
-1,540.38%-749M
-90.51%52M
1.29%548M
16.77%195M
End cash position
27.58%29.21B
-5.44%22.9B
7.89%24.21B
6.49%22.44B
22.29%21.08B
0.67%17.23B
18.36%17.12B
-2.55%14.46B
7.06%14.84B
7.06%14.84B
Free cash flow
36.66%22.32B
-31.12%16.33B
-22.51%23.71B
-12.90%30.6B
44.83%35.14B
-23.22%24.26B
62.82%31.6B
-10.28%19.41B
-29.17%21.63B
-30.19%3.66B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 31.74%9.03B-3.50%6.86B-0.39%7.11B-14.08%7.13B7.78%8.3B6.88%7.7B-1.66%7.21B4.89%7.33B5.82%6.99B13.73%1.5B
Other non cash items 223.04%2.13B-124.45%-1.73B26.95%7.08B-3.36%5.58B51.51%5.77B-21.71%3.81B6.68%4.87B-14.21%4.56B37.12%5.32B45.87%1.38B
Change in working capital 164.12%4.36B-158.03%-6.8B-46.89%11.72B-7.25%22.07B95.41%23.79B-46.03%12.18B82.99%22.56B-20.75%12.33B-37.00%15.56B-85.92%527M
-Change in other current assets 1,957.22%3.7B102.10%180M-299.74%-8.58B553.33%4.29B74.69%-947M-169.51%-3.74B207.64%5.38B-428.54%-5B-199.79%-946M-365.00%-186M
-Change in other current liabilities -96.89%13M216.76%418M-204.99%-358M63.94%341M-72.19%208M-7.20%748M99.50%806M54.20%404M2,720.00%262M32.83%-133M
Cash from discontinued operating activities
Operating cash flow 36.26%24.46B-28.55%17.95B-21.61%25.12B-12.07%32.05B41.98%36.45B-22.65%25.67B54.64%33.19B-9.31%21.46B-26.59%23.66B-27.64%4.18B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale -186.19%-9.19B199.84%10.67B46.77%-10.68B3.50%-20.07B-81.43%-20.8B44.08%-11.46B-14.69%-20.5B4.57%-17.87B23.17%-18.73B54.46%-991M
Net PPE purchase and sale -39.63%-1.95B-9.22%-1.4B3.25%-1.28B-28.45%-1.32B18.77%-1.03B11.88%-1.27B25.21%-1.44B-1.00%-1.92B-21.11%-1.91B1.97%-497M
Net business purchase and sale 34.55%-858M65.09%-1.31B-195.20%-3.76B-37.96%-1.27B64.63%-922M-36.71%-2.61B-166.71%-1.91B-103.13%-715M53.81%-352M77.07%-202M
Net other investing changes -332.65%-228M5.38%98M-66.06%93M346.85%274M73.82%-111M-3,361.54%-424M-93.26%13M137.04%193M-0.19%-521M26.95%-103M
Cash from discontinued investing activities
Investing cash flow 19.91%-12.01B24.22%-14.99B31.48%-19.78B-4.21%-28.87B-43.46%-27.7B22.00%-19.31B-25.25%-24.76B3.08%-19.77B24.26%-20.39B2.93%-3.68B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -47.21%1.25B1,039.68%2.37B-114.29%-252M88.56%1.76B31.14%935M-68.03%713M22.87%2.23B237.36%1.82B210.93%538M2,266.67%455M
Net common stock issuance -67.96%-2.2B-156.88%-1.31B4.54%2.31B44,000.00%2.21B-68.75%5M-61.90%16M-4.55%42M-31.25%44M12.28%64M8.16%53M
Cash dividends paid -1.25%-4.93B-14.05%-4.87B-2.99%-4.27B-2.07%-4.15B-10.59%-4.06B-0.33%-3.67B-0.41%-3.66B-7.81%-3.65B-24.52%-3.38B0.00%-67M
Net other financing charges 638.46%560M91.13%-104M-46.08%-1.17B41.56%-803M64.56%-1.37B-6.57%-3.88B-6,714.55%-3.64B196.49%55M-26.67%-57M-6.59%85M
Cash from discontinued financing activities
Financing cash flow -31.07%-5.72B-15.35%-4.37B-172.37%-3.79B71.34%-1.39B28.90%-4.85B-35.69%-6.82B-190.24%-5.03B38.95%-1.73B11.04%-2.84B911.54%526M
Net cash flow
Beginning cash position -4.74%22.9B7.10%24.04B4.82%22.44B24.24%21.41B-2.36%17.23B22.04%17.65B0.11%14.46B4.21%14.45B23.70%13.86B16.84%13.62B
Current changes in cash 578.39%6.73B-190.48%-1.41B-13.08%1.56B-54.07%1.79B948.58%3.9B-113.48%-459M9,561.11%3.41B-108.33%-36M-79.58%432M-49.66%1.03B
Effect of exchange rate changes -274.63%-468M24.07%268M128.50%216M-942.22%-758M119.51%90M105.47%41M-1,540.38%-749M-90.51%52M1.29%548M16.77%195M
End cash position 27.58%29.21B-5.44%22.9B7.89%24.21B6.49%22.44B22.29%21.08B0.67%17.23B18.36%17.12B-2.55%14.46B7.06%14.84B7.06%14.84B
Free cash flow 36.66%22.32B-31.12%16.33B-22.51%23.71B-12.90%30.6B44.83%35.14B-23.22%24.26B62.82%31.6B-10.28%19.41B-29.17%21.63B-30.19%3.66B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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