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SZLMY SWISS LIFE HOLDING AG UNSP ADR EACH REPR 1/20 ORD

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  • 34.100
  • +0.350+1.04%
15min DelayClose May 1 16:00 ET
18.93BMarket Cap16.86P/E (TTM)

SWISS LIFE HOLDING AG UNSP ADR EACH REPR 1/20 ORD 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
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Cash from discontinued operating activities
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-14.55%-63M
22.54%-55M
-162.96%-71M
-8.00%-27M
-19.05%-25M
19.23%-21M
-62.50%-26M
-60.00%-16M
86.49%-10M
-80.49%-74M
Net intangibles purchase and sale
13.04%-20M
-35.29%-23M
-13.33%-17M
28.57%-15M
-5.00%-21M
-42.86%-20M
0.00%-14M
-27.27%-14M
0.00%-11M
50.00%-11M
Net business purchase and sale
-135.80%-29M
175.00%81M
-5,500.00%-108M
100.18%2M
-450.25%-1.08B
-340.24%-197M
295.24%82M
-600.00%-42M
97.25%-6M
-257.38%-218M
Net other investing changes
-100.00%-2M
---1M
----
-200.00%-1M
--1M
----
-50.00%1M
--2M
----
100.00%2M
Cash from discontinued investing activities
Investing cash flow
-482.76%-111M
115.10%29M
-519.35%-192M
97.24%-31M
-387.01%-1.13B
-591.49%-231M
168.12%47M
-144.81%-69M
152.92%154M
-140.50%-291M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-112.75%-52M
67.21%408M
--244M
--0
592.13%625M
79.91%-127M
-185.64%-632M
97.86%738M
928.89%373M
-105.02%-45M
Net common stock issuance
39.12%-442M
-310.17%-726M
-311.63%-177M
95.29%-43M
-408.45%-913M
--296M
--0
--0
-133.33%-35M
-25.00%-15M
Cash dividends paid
-14.79%-877M
-16.82%-764M
-37.11%-654M
12.80%-477M
-18.91%-547M
-29.21%-460M
-31.37%-356M
-30.92%-271M
-17.61%-207M
-22.22%-176M
Net other financing charges
----
-75.00%1M
102.52%4M
-16,000.00%-159M
--1M
----
0.00%-1M
-133.33%-1M
--3M
----
Cash from discontinued financing activities
Financing cash flow
-25.99%-1.43B
-79.02%-1.14B
12.91%-634M
17.74%-728M
-101.59%-885M
61.86%-439M
-471.29%-1.15B
6,300.00%310M
98.69%-5M
-163.31%-383M
Net cash flow
Beginning cash position
-4.13%6.91B
-8.35%7.21B
-4.63%7.87B
-1.94%8.25B
27.21%8.41B
-9.85%6.61B
38.46%7.33B
-12.64%5.3B
-0.43%6.06B
-6.05%6.09B
Current changes in cash
-450.00%-660M
77.36%-120M
-79.66%-530M
-1,153.57%-295M
-98.62%28M
335.23%2.02B
-141.21%-860M
470.04%2.09B
-2,250.00%-564M
93.67%-24M
Effect of exchange rate changes
-101.68%-361M
-40.94%-179M
-45.98%-127M
54.69%-87M
14.29%-192M
-262.32%-224M
381.63%138M
75.86%-49M
-6,666.67%-203M
76.92%-3M
End cash position
-14.79%5.89B
-4.13%6.91B
-8.35%7.21B
-4.63%7.87B
-1.94%8.25B
27.21%8.41B
-9.85%6.61B
38.46%7.33B
-12.64%5.3B
-0.43%6.06B
Free cash flow
-14.51%772M
336.23%903M
-50.83%207M
-78.81%421M
-24.88%1.99B
1,229.15%2.65B
-89.02%199M
346.00%1.81B
-231.84%-737M
160.11%559M
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
(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(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Cash from discontinued operating activities
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -14.55%-63M22.54%-55M-162.96%-71M-8.00%-27M-19.05%-25M19.23%-21M-62.50%-26M-60.00%-16M86.49%-10M-80.49%-74M
Net intangibles purchase and sale 13.04%-20M-35.29%-23M-13.33%-17M28.57%-15M-5.00%-21M-42.86%-20M0.00%-14M-27.27%-14M0.00%-11M50.00%-11M
Net business purchase and sale -135.80%-29M175.00%81M-5,500.00%-108M100.18%2M-450.25%-1.08B-340.24%-197M295.24%82M-600.00%-42M97.25%-6M-257.38%-218M
Net other investing changes -100.00%-2M---1M-----200.00%-1M--1M-----50.00%1M--2M----100.00%2M
Cash from discontinued investing activities
Investing cash flow -482.76%-111M115.10%29M-519.35%-192M97.24%-31M-387.01%-1.13B-591.49%-231M168.12%47M-144.81%-69M152.92%154M-140.50%-291M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -112.75%-52M67.21%408M--244M--0592.13%625M79.91%-127M-185.64%-632M97.86%738M928.89%373M-105.02%-45M
Net common stock issuance 39.12%-442M-310.17%-726M-311.63%-177M95.29%-43M-408.45%-913M--296M--0--0-133.33%-35M-25.00%-15M
Cash dividends paid -14.79%-877M-16.82%-764M-37.11%-654M12.80%-477M-18.91%-547M-29.21%-460M-31.37%-356M-30.92%-271M-17.61%-207M-22.22%-176M
Net other financing charges -----75.00%1M102.52%4M-16,000.00%-159M--1M----0.00%-1M-133.33%-1M--3M----
Cash from discontinued financing activities
Financing cash flow -25.99%-1.43B-79.02%-1.14B12.91%-634M17.74%-728M-101.59%-885M61.86%-439M-471.29%-1.15B6,300.00%310M98.69%-5M-163.31%-383M
Net cash flow
Beginning cash position -4.13%6.91B-8.35%7.21B-4.63%7.87B-1.94%8.25B27.21%8.41B-9.85%6.61B38.46%7.33B-12.64%5.3B-0.43%6.06B-6.05%6.09B
Current changes in cash -450.00%-660M77.36%-120M-79.66%-530M-1,153.57%-295M-98.62%28M335.23%2.02B-141.21%-860M470.04%2.09B-2,250.00%-564M93.67%-24M
Effect of exchange rate changes -101.68%-361M-40.94%-179M-45.98%-127M54.69%-87M14.29%-192M-262.32%-224M381.63%138M75.86%-49M-6,666.67%-203M76.92%-3M
End cash position -14.79%5.89B-4.13%6.91B-8.35%7.21B-4.63%7.87B-1.94%8.25B27.21%8.41B-9.85%6.61B38.46%7.33B-12.64%5.3B-0.43%6.06B
Free cash flow -14.51%772M336.23%903M-50.83%207M-78.81%421M-24.88%1.99B1,229.15%2.65B-89.02%199M346.00%1.81B-231.84%-737M160.11%559M
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF

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