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BHFAM BRIGHTHOUSE FINL INC 4.625% DEP SHS REP1/1000TH INT PFD SER

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  • 15.750
  • +0.020+0.13%
Close May 2 16:00 ET
0Market Cap0.00P/E (TTM)

BRIGHTHOUSE FINL INC 4.625% DEP SHS REP1/1000TH INT PFD SER 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
88.84%-137M
-291.58%-1.23B
Net income from continuing operations
-128.50%-1.11B
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135.68%3.88B
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Operating gains losses
-12.01%315M
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138.58%358M
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Other non cash items
6.12%-2.26B
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16.33%-2.4B
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Change in working capital
71.16%-1.25B
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-233.41%-4.34B
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-Change in receivables
6.84%-1.28B
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-377.58%-1.37B
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-Change in loss and loss adjustment expense reserves
102.60%51M
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-479.88%-1.96B
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-Change in deferred acquisition costs
2.93%211M
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44.37%205M
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-Change in accrued investment income
-90.27%-215M
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-156.82%-113M
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-Change in other current assets
-10.44%1.13B
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-21.59%1.26B
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-Change in other current liabilities
-46.02%95M
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215.03%176M
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-Change in other working capital
50.93%-1.25B
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15.82%-2.54B
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Cash from discontinued operating activities
Operating cash flow
88.84%-137M
167.26%152M
135.24%339M
-180.50%-128M
-151.26%-500M
-291.58%-1.23B
-7,433.33%-226M
-267.30%-962M
-8.09%159M
-91.35%-199M
Investing cash flow
Cash flow from continuing investing activities
61.38%-3.2B
18.82%-552M
61.78%-985M
86.64%-334M
47.40%-1.33B
32.37%-8.28B
73.57%-680M
50.94%-2.58B
40.65%-2.5B
-1,159.50%-2.52B
Net investment purchase and sale
25.51%-3.32B
-262.47%-658M
49.20%-948M
83.06%-373M
-69.28%-1.34B
42.05%-4.45B
150.56%405M
47.61%-1.87B
28.37%-2.2B
-217.67%-791M
Net proceeds payment for loan
111.35%370M
116.01%154M
98.25%-10M
160.38%128M
106.46%98M
18.21%-3.26B
39.80%-962M
63.48%-570M
79.44%-212M
-843.14%-1.52B
Net business purchase and sale
55.87%-248M
60.98%-48M
80.85%-27M
-3.49%-89M
60.38%-84M
0.71%-562M
29.31%-123M
-8.46%-141M
19.63%-86M
-36.77%-212M
Cash from discontinued investing activities
Investing cash flow
61.38%-3.2B
18.82%-552M
61.78%-985M
86.64%-334M
47.40%-1.33B
32.37%-8.28B
73.57%-680M
50.94%-2.58B
40.65%-2.5B
-1,159.50%-2.52B
Financing cash flow
Cash flow from continuing financing activities
-66.44%3.07B
80.70%412M
-77.06%748M
-84.48%514M
-40.51%1.4B
-23.56%9.15B
-92.25%228M
-16.47%3.26B
-32.37%3.31B
961.09%2.35B
Increase decrease in deposit
47.92%-890M
86.26%-271M
-34.27%-192M
-157.51%-268M
-165.00%-159M
-268.04%-1.71B
-413.02%-1.97B
-128.83%-143M
-45.94%466M
93.82%-60M
Net issuance payments of debt
33.33%-2M
0.00%-1M
--0
---1M
--0
98.93%-3M
99.64%-1M
---1M
--0
---1M
Net common stock issuance
48.77%-250M
35.48%-60M
52.94%-64M
51.52%-64M
51.18%-62M
2.20%-488M
41.14%-93M
8.72%-136M
-6.45%-132M
-86.76%-127M
Net preferred stock issuance
--0
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--0
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Cash dividends paid
1.92%-102M
3.85%-25M
-4.00%-26M
3.85%-25M
3.70%-26M
-16.85%-104M
-23.81%-26M
-13.64%-25M
-23.81%-26M
-8.00%-27M
Net other financing charges
-62.33%4.31B
-66.85%769M
-71.12%1.03B
-70.96%872M
-35.86%1.64B
-0.23%11.45B
-4.57%2.32B
-0.36%3.57B
-28.16%3B
99.22%2.56B
Cash from discontinued financing activities
Financing cash flow
-66.44%3.07B
80.70%412M
-77.06%748M
-84.48%514M
-40.51%1.4B
-23.56%9.15B
-92.25%228M
-16.47%3.26B
-32.37%3.31B
961.09%2.35B
Net cash flow
Beginning cash position
-8.02%4.12B
-19.90%3.84B
-26.31%3.74B
-10.14%3.69B
-8.02%4.12B
8.91%4.47B
16.67%4.79B
3.87%5.07B
1.89%4.1B
8.91%4.47B
Current changes in cash
26.46%-264M
101.77%12M
136.69%102M
-94.64%52M
-15.28%-430M
-198.09%-359M
-285.25%-678M
64.08%-278M
13.19%970M
-349.40%-373M
End cash position
-6.42%3.85B
-6.42%3.85B
-19.90%3.84B
-26.31%3.74B
-10.14%3.69B
-8.02%4.12B
-8.02%4.12B
16.67%4.79B
3.87%5.07B
1.89%4.1B
Free cash flow
88.84%-137M
167.26%152M
135.24%339M
-180.50%-128M
-151.26%-500M
-291.58%-1.23B
-7,433.33%-226M
-267.30%-962M
-8.09%159M
-91.35%-199M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
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(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 88.84%-137M-291.58%-1.23B
Net income from continuing operations -128.50%-1.11B----------------135.68%3.88B----------------
Operating gains losses -12.01%315M----------------138.58%358M----------------
Other non cash items 6.12%-2.26B----------------16.33%-2.4B----------------
Change in working capital 71.16%-1.25B-----------------233.41%-4.34B----------------
-Change in receivables 6.84%-1.28B-----------------377.58%-1.37B----------------
-Change in loss and loss adjustment expense reserves 102.60%51M-----------------479.88%-1.96B----------------
-Change in deferred acquisition costs 2.93%211M----------------44.37%205M----------------
-Change in accrued investment income -90.27%-215M-----------------156.82%-113M----------------
-Change in other current assets -10.44%1.13B-----------------21.59%1.26B----------------
-Change in other current liabilities -46.02%95M----------------215.03%176M----------------
-Change in other working capital 50.93%-1.25B----------------15.82%-2.54B----------------
Cash from discontinued operating activities
Operating cash flow 88.84%-137M167.26%152M135.24%339M-180.50%-128M-151.26%-500M-291.58%-1.23B-7,433.33%-226M-267.30%-962M-8.09%159M-91.35%-199M
Investing cash flow
Cash flow from continuing investing activities 61.38%-3.2B18.82%-552M61.78%-985M86.64%-334M47.40%-1.33B32.37%-8.28B73.57%-680M50.94%-2.58B40.65%-2.5B-1,159.50%-2.52B
Net investment purchase and sale 25.51%-3.32B-262.47%-658M49.20%-948M83.06%-373M-69.28%-1.34B42.05%-4.45B150.56%405M47.61%-1.87B28.37%-2.2B-217.67%-791M
Net proceeds payment for loan 111.35%370M116.01%154M98.25%-10M160.38%128M106.46%98M18.21%-3.26B39.80%-962M63.48%-570M79.44%-212M-843.14%-1.52B
Net business purchase and sale 55.87%-248M60.98%-48M80.85%-27M-3.49%-89M60.38%-84M0.71%-562M29.31%-123M-8.46%-141M19.63%-86M-36.77%-212M
Cash from discontinued investing activities
Investing cash flow 61.38%-3.2B18.82%-552M61.78%-985M86.64%-334M47.40%-1.33B32.37%-8.28B73.57%-680M50.94%-2.58B40.65%-2.5B-1,159.50%-2.52B
Financing cash flow
Cash flow from continuing financing activities -66.44%3.07B80.70%412M-77.06%748M-84.48%514M-40.51%1.4B-23.56%9.15B-92.25%228M-16.47%3.26B-32.37%3.31B961.09%2.35B
Increase decrease in deposit 47.92%-890M86.26%-271M-34.27%-192M-157.51%-268M-165.00%-159M-268.04%-1.71B-413.02%-1.97B-128.83%-143M-45.94%466M93.82%-60M
Net issuance payments of debt 33.33%-2M0.00%-1M--0---1M--098.93%-3M99.64%-1M---1M--0---1M
Net common stock issuance 48.77%-250M35.48%-60M52.94%-64M51.52%-64M51.18%-62M2.20%-488M41.14%-93M8.72%-136M-6.45%-132M-86.76%-127M
Net preferred stock issuance --0------------------0----------------
Cash dividends paid 1.92%-102M3.85%-25M-4.00%-26M3.85%-25M3.70%-26M-16.85%-104M-23.81%-26M-13.64%-25M-23.81%-26M-8.00%-27M
Net other financing charges -62.33%4.31B-66.85%769M-71.12%1.03B-70.96%872M-35.86%1.64B-0.23%11.45B-4.57%2.32B-0.36%3.57B-28.16%3B99.22%2.56B
Cash from discontinued financing activities
Financing cash flow -66.44%3.07B80.70%412M-77.06%748M-84.48%514M-40.51%1.4B-23.56%9.15B-92.25%228M-16.47%3.26B-32.37%3.31B961.09%2.35B
Net cash flow
Beginning cash position -8.02%4.12B-19.90%3.84B-26.31%3.74B-10.14%3.69B-8.02%4.12B8.91%4.47B16.67%4.79B3.87%5.07B1.89%4.1B8.91%4.47B
Current changes in cash 26.46%-264M101.77%12M136.69%102M-94.64%52M-15.28%-430M-198.09%-359M-285.25%-678M64.08%-278M13.19%970M-349.40%-373M
End cash position -6.42%3.85B-6.42%3.85B-19.90%3.84B-26.31%3.74B-10.14%3.69B-8.02%4.12B-8.02%4.12B16.67%4.79B3.87%5.07B1.89%4.1B
Free cash flow 88.84%-137M167.26%152M135.24%339M-180.50%-128M-151.26%-500M-291.58%-1.23B-7,433.33%-226M-267.30%-962M-8.09%159M-91.35%-199M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

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