CA Stock MarketDetailed Quotes

ALZ Allianz SE

Watchlist
  • 25.130
  • -1.640-6.13%
15min DelayMarket Closed Apr 4 15:30 ET
193.10BMarket Cap13.35P/E (TTM)

Allianz SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Financial asset investment
15.13%130.22B
15.13%130.22B
7.06%741.99B
-82.03%126.01B
4.53%735.38B
18.60%113.11B
18.60%113.11B
22.27%693.09B
3,952.07%701.29B
10.31%703.53B
-Available-for-sale securities
15.21%10.17B
15.21%10.17B
----
--10.04B
----
12.19%8.83B
12.19%8.83B
----
----
----
-Total financial assets designated as fair value through profit or loss
14.20%101.83B
14.20%101.83B
----
--97.83B
----
14.38%89.16B
14.38%89.16B
----
----
----
-Financial assets
20.56%18.22B
20.56%18.22B
----
--18.14B
----
58.31%15.11B
58.31%15.11B
----
----
----
Long term equity investment
5.28%22.31B
5.28%22.31B
----
--21.7B
----
-5.57%21.19B
-5.57%21.19B
----
----
----
Cash, cash equivalents and short term investments
2.96%599.55B
2.96%599.55B
28.23%30.96B
2,177.62%583.34B
15.63%28.37B
3.06%582.3B
3.06%582.3B
-10.04%24.14B
-95.39%25.61B
0.64%24.53B
-Cash and cash equivalents
14.36%24.67B
14.36%24.67B
28.23%30.96B
9.55%28.06B
15.63%28.37B
7.08%21.57B
7.08%21.57B
-10.04%24.14B
15.83%25.61B
0.64%24.53B
-Short-term investments
2.52%574.88B
2.52%574.88B
----
--555.29B
----
2.91%560.73B
2.91%560.73B
----
----
----
Reinsurance assets
16.39%28.77B
16.39%28.77B
10.32%27.22B
1.32%25.63B
0.67%25.2B
-3.46%24.72B
-3.46%24.72B
-61.42%24.68B
-56.24%25.29B
-57.50%25.03B
Insurance contract assets
-4.42%153.58B
-4.42%153.58B
-3.15%142.01B
7.49%160.55B
8.33%159.23B
11.50%160.68B
11.50%160.68B
5.40%146.63B
5.74%149.37B
-3.21%146.99B
Receivables
-4.51%12.76B
-4.51%12.76B
----
--13.67B
----
11.61%13.36B
11.61%13.36B
----
----
----
-Accounts receivable
1.67%8.08B
1.67%8.08B
----
--8.11B
----
11.90%7.94B
11.90%7.94B
----
----
----
-Taxes receivable
-13.58%4.68B
-13.58%4.68B
----
--5.56B
----
11.17%5.41B
11.17%5.41B
----
----
----
Prepaid assets
7.74%849M
7.74%849M
----
--1.01B
----
-14.44%788M
-14.44%788M
----
----
----
Net PPE
0.85%13.18B
0.85%13.18B
----
--13.04B
----
2.21%13.07B
2.21%13.07B
----
----
----
-Gross PP&E
6.07%27.67B
6.07%27.67B
----
--13.04B
----
4.44%26.09B
4.44%26.09B
----
----
----
-Accum depreciation
-11.32%-14.49B
-11.32%-14.49B
----
----
----
-6.78%-13.02B
-6.78%-13.02B
----
----
----
Investment properties
-5.97%22.5B
-5.97%22.5B
----
--23.24B
----
-7.49%23.92B
-7.49%23.92B
----
----
----
Goodwill and other intangible assets
2.55%19.13B
2.55%19.13B
0.97%18.84B
1.82%19B
1.66%19B
1.12%18.65B
1.12%18.65B
-3.07%18.66B
-1.44%18.66B
0.04%18.69B
-Goodwill
2.65%17.06B
2.65%17.06B
----
--16.89B
----
2.25%16.62B
2.25%16.62B
----
----
----
-Other intangible assets
1.73%2.06B
1.73%2.06B
0.97%18.84B
-88.68%2.11B
1.66%19B
-7.27%2.03B
-7.27%2.03B
-3.07%18.66B
569.44%18.66B
0.04%18.69B
Holding of assets for sale-Non current
2,685.91%31.23B
2,685.91%31.23B
----
--246M
----
-63.39%1.12B
-63.39%1.12B
----
----
----
Deferred tax assets-Non current
1.05%6.06B
1.05%6.06B
11.83%6.66B
7.05%6.31B
6.71%6.09B
-5.92%5.99B
-5.92%5.99B
-25.56%5.96B
2.31%5.89B
53.17%5.71B
Other assets
4.28%4.46B
4.28%4.46B
99.25%58.8B
-85.40%4.62B
-4.92%30.47B
8.86%4.28B
8.86%4.28B
-43.35%29.51B
810.60%31.61B
-38.54%32.04B
Total assets
6.25%1.04T
6.25%1.04T
8.89%1.03T
4.24%998.35B
4.94%1T
5.05%983.17B
5.05%983.17B
-10.13%942.67B
-8.79%957.73B
-13.07%956.52B
Liabilities
Insurance contract liabilities
3.03%800.51B
3.03%800.51B
6.38%789.35B
4.59%789.51B
5.04%789.27B
3.44%776.94B
3.44%776.94B
4.38%741.98B
6.20%754.83B
2.18%751.37B
Reinsurance payable balance
36.80%316M
36.80%316M
-2.58%264M
-73.93%267M
-7.63%327M
-10.12%231M
-10.12%231M
--271M
--1.02B
--354M
Investment contract liabilities
-10.33%44.55B
-10.33%44.55B
-14.16%42.91B
-2.30%50.25B
-1.91%50.38B
--49.69B
--49.69B
--49.98B
--51.44B
--51.36B
Payables
10.63%5.77B
10.63%5.77B
----
--5.86B
----
11.84%5.21B
11.84%5.21B
----
----
----
-Total tax payable
11.75%4.85B
11.75%4.85B
----
--4.96B
----
12.52%4.34B
12.52%4.34B
----
----
----
-Other payable
5.04%917M
5.04%917M
----
--891M
----
8.58%873M
8.58%873M
----
----
----
Non-current financial liabilities
13.44%66.14B
13.44%66.14B
19.46%64.44B
13.71%62.69B
17.07%62.34B
13.63%58.3B
13.63%58.3B
-9.89%53.94B
-2.53%55.13B
1.24%53.25B
-Derivative product liabilities
39.71%14.24B
39.71%14.24B
----
--13.71B
----
--10.19B
--10.19B
----
----
----
-Long term debt and capital lease obligation
7.14%23.12B
7.14%23.12B
----
--20.65B
----
--21.58B
--21.58B
----
----
----
-Including:Long term debt
7.14%23.12B
7.14%23.12B
----
--20.65B
----
--21.58B
--21.58B
----
----
----
-Other financial liabilities-non current
----
----
19.46%64.44B
----
--62.34B
----
----
--53.94B
2,073.16%55.13B
----
Long term provisions
14.71%3.21B
14.71%3.21B
----
--2.69B
----
-5.50%2.8B
-5.50%2.8B
----
----
----
Non current accrued and deferred income
10.57%743M
10.57%743M
----
--836M
----
10.16%672M
10.16%672M
----
----
----
-Non current deferred income
10.57%743M
10.57%743M
----
--836M
----
10.16%672M
10.16%672M
----
----
----
Long-term pension and other post-retirement benefit plans
0.01%12.29B
0.01%12.29B
----
--11.52B
----
7.27%12.29B
7.27%12.29B
----
----
----
Holding for sale liabilities
8,883.73%29.83B
8,883.73%29.83B
----
--7M
----
-88.32%332M
-88.32%332M
----
----
----
Non current deferred liabilities
6.26%2.26B
6.26%2.26B
22.36%2.5B
15.19%2.28B
8.54%2.15B
-1.58%2.12B
-1.58%2.12B
77.30%2.04B
33.38%1.98B
-42.74%1.98B
Other liabilities
14.34%14.89B
14.34%14.89B
94.42%65.65B
-60.48%13.64B
-2.65%35.85B
-73.85%13.02B
-73.85%13.02B
-84.52%33.77B
-77.98%34.5B
-84.33%36.82B
Total liabilities
6.39%980.5B
6.39%980.5B
9.42%965.11B
4.52%939.54B
5.05%940.31B
5.07%921.61B
5.07%921.61B
-11.19%881.98B
-9.17%898.9B
-12.79%895.14B
Shareholders'equity
Share capital
0.00%1.17B
0.00%1.17B
0.00%1.17B
0.00%1.17B
--1.17B
0.00%1.17B
0.00%1.17B
--1.17B
0.00%1.17B
----
-common stock
0.00%1.17B
0.00%1.17B
0.00%1.17B
0.00%1.17B
--1.17B
0.00%1.17B
0.00%1.17B
--1.17B
0.00%1.17B
----
Additional paid-in capital
0.00%27.73B
0.00%27.73B
0.00%27.73B
0.00%27.73B
--27.73B
0.00%27.73B
0.00%27.73B
--27.73B
0.00%27.73B
----
Less: Treasury stock
0.00%38M
0.00%38M
----
--955M
----
-88.59%38M
-88.59%38M
----
----
----
Retained earnings
9.35%33.35B
9.35%33.35B
4.46%30.9B
7.52%30.03B
--32.68B
2.75%30.5B
2.75%30.5B
--29.58B
-12.01%27.93B
----
Other reserves
-16.23%-6.85B
-16.23%-6.85B
6.69%-6.77B
0.11%-7.3B
---6.42B
32.16%-5.89B
32.16%-5.89B
---7.26B
20.09%-7.31B
----
Other equity interest
3.19%4.92B
3.19%4.92B
-2.49%4.74B
0.83%4.83B
--4.82B
-1.63%4.76B
-1.63%4.76B
--4.86B
-2.02%4.79B
----
Total stockholders'equity
3.52%60.29B
3.52%60.29B
3.00%57.77B
2.20%55.51B
5.65%59.98B
7.03%58.24B
7.03%58.24B
7.98%56.09B
-3.68%54.32B
-18.64%56.77B
Noncontrolling interests
14.09%3.79B
14.09%3.79B
-21.54%3.61B
-26.79%3.3B
-25.42%3.44B
-23.13%3.32B
-23.13%3.32B
20.42%4.6B
15.78%4.51B
11.58%4.61B
Total equity
4.09%64.08B
4.09%64.08B
1.14%61.38B
-0.02%58.81B
3.32%63.42B
4.81%61.56B
4.81%61.56B
8.83%60.69B
-2.42%58.82B
-16.95%61.38B
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, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Financial asset investment 15.13%130.22B15.13%130.22B7.06%741.99B-82.03%126.01B4.53%735.38B18.60%113.11B18.60%113.11B22.27%693.09B3,952.07%701.29B10.31%703.53B
-Available-for-sale securities 15.21%10.17B15.21%10.17B------10.04B----12.19%8.83B12.19%8.83B------------
-Total financial assets designated as fair value through profit or loss 14.20%101.83B14.20%101.83B------97.83B----14.38%89.16B14.38%89.16B------------
-Financial assets 20.56%18.22B20.56%18.22B------18.14B----58.31%15.11B58.31%15.11B------------
Long term equity investment 5.28%22.31B5.28%22.31B------21.7B-----5.57%21.19B-5.57%21.19B------------
Cash, cash equivalents and short term investments 2.96%599.55B2.96%599.55B28.23%30.96B2,177.62%583.34B15.63%28.37B3.06%582.3B3.06%582.3B-10.04%24.14B-95.39%25.61B0.64%24.53B
-Cash and cash equivalents 14.36%24.67B14.36%24.67B28.23%30.96B9.55%28.06B15.63%28.37B7.08%21.57B7.08%21.57B-10.04%24.14B15.83%25.61B0.64%24.53B
-Short-term investments 2.52%574.88B2.52%574.88B------555.29B----2.91%560.73B2.91%560.73B------------
Reinsurance assets 16.39%28.77B16.39%28.77B10.32%27.22B1.32%25.63B0.67%25.2B-3.46%24.72B-3.46%24.72B-61.42%24.68B-56.24%25.29B-57.50%25.03B
Insurance contract assets -4.42%153.58B-4.42%153.58B-3.15%142.01B7.49%160.55B8.33%159.23B11.50%160.68B11.50%160.68B5.40%146.63B5.74%149.37B-3.21%146.99B
Receivables -4.51%12.76B-4.51%12.76B------13.67B----11.61%13.36B11.61%13.36B------------
-Accounts receivable 1.67%8.08B1.67%8.08B------8.11B----11.90%7.94B11.90%7.94B------------
-Taxes receivable -13.58%4.68B-13.58%4.68B------5.56B----11.17%5.41B11.17%5.41B------------
Prepaid assets 7.74%849M7.74%849M------1.01B-----14.44%788M-14.44%788M------------
Net PPE 0.85%13.18B0.85%13.18B------13.04B----2.21%13.07B2.21%13.07B------------
-Gross PP&E 6.07%27.67B6.07%27.67B------13.04B----4.44%26.09B4.44%26.09B------------
-Accum depreciation -11.32%-14.49B-11.32%-14.49B-------------6.78%-13.02B-6.78%-13.02B------------
Investment properties -5.97%22.5B-5.97%22.5B------23.24B-----7.49%23.92B-7.49%23.92B------------
Goodwill and other intangible assets 2.55%19.13B2.55%19.13B0.97%18.84B1.82%19B1.66%19B1.12%18.65B1.12%18.65B-3.07%18.66B-1.44%18.66B0.04%18.69B
-Goodwill 2.65%17.06B2.65%17.06B------16.89B----2.25%16.62B2.25%16.62B------------
-Other intangible assets 1.73%2.06B1.73%2.06B0.97%18.84B-88.68%2.11B1.66%19B-7.27%2.03B-7.27%2.03B-3.07%18.66B569.44%18.66B0.04%18.69B
Holding of assets for sale-Non current 2,685.91%31.23B2,685.91%31.23B------246M-----63.39%1.12B-63.39%1.12B------------
Deferred tax assets-Non current 1.05%6.06B1.05%6.06B11.83%6.66B7.05%6.31B6.71%6.09B-5.92%5.99B-5.92%5.99B-25.56%5.96B2.31%5.89B53.17%5.71B
Other assets 4.28%4.46B4.28%4.46B99.25%58.8B-85.40%4.62B-4.92%30.47B8.86%4.28B8.86%4.28B-43.35%29.51B810.60%31.61B-38.54%32.04B
Total assets 6.25%1.04T6.25%1.04T8.89%1.03T4.24%998.35B4.94%1T5.05%983.17B5.05%983.17B-10.13%942.67B-8.79%957.73B-13.07%956.52B
Liabilities
Insurance contract liabilities 3.03%800.51B3.03%800.51B6.38%789.35B4.59%789.51B5.04%789.27B3.44%776.94B3.44%776.94B4.38%741.98B6.20%754.83B2.18%751.37B
Reinsurance payable balance 36.80%316M36.80%316M-2.58%264M-73.93%267M-7.63%327M-10.12%231M-10.12%231M--271M--1.02B--354M
Investment contract liabilities -10.33%44.55B-10.33%44.55B-14.16%42.91B-2.30%50.25B-1.91%50.38B--49.69B--49.69B--49.98B--51.44B--51.36B
Payables 10.63%5.77B10.63%5.77B------5.86B----11.84%5.21B11.84%5.21B------------
-Total tax payable 11.75%4.85B11.75%4.85B------4.96B----12.52%4.34B12.52%4.34B------------
-Other payable 5.04%917M5.04%917M------891M----8.58%873M8.58%873M------------
Non-current financial liabilities 13.44%66.14B13.44%66.14B19.46%64.44B13.71%62.69B17.07%62.34B13.63%58.3B13.63%58.3B-9.89%53.94B-2.53%55.13B1.24%53.25B
-Derivative product liabilities 39.71%14.24B39.71%14.24B------13.71B------10.19B--10.19B------------
-Long term debt and capital lease obligation 7.14%23.12B7.14%23.12B------20.65B------21.58B--21.58B------------
-Including:Long term debt 7.14%23.12B7.14%23.12B------20.65B------21.58B--21.58B------------
-Other financial liabilities-non current --------19.46%64.44B------62.34B----------53.94B2,073.16%55.13B----
Long term provisions 14.71%3.21B14.71%3.21B------2.69B-----5.50%2.8B-5.50%2.8B------------
Non current accrued and deferred income 10.57%743M10.57%743M------836M----10.16%672M10.16%672M------------
-Non current deferred income 10.57%743M10.57%743M------836M----10.16%672M10.16%672M------------
Long-term pension and other post-retirement benefit plans 0.01%12.29B0.01%12.29B------11.52B----7.27%12.29B7.27%12.29B------------
Holding for sale liabilities 8,883.73%29.83B8,883.73%29.83B------7M-----88.32%332M-88.32%332M------------
Non current deferred liabilities 6.26%2.26B6.26%2.26B22.36%2.5B15.19%2.28B8.54%2.15B-1.58%2.12B-1.58%2.12B77.30%2.04B33.38%1.98B-42.74%1.98B
Other liabilities 14.34%14.89B14.34%14.89B94.42%65.65B-60.48%13.64B-2.65%35.85B-73.85%13.02B-73.85%13.02B-84.52%33.77B-77.98%34.5B-84.33%36.82B
Total liabilities 6.39%980.5B6.39%980.5B9.42%965.11B4.52%939.54B5.05%940.31B5.07%921.61B5.07%921.61B-11.19%881.98B-9.17%898.9B-12.79%895.14B
Shareholders'equity
Share capital 0.00%1.17B0.00%1.17B0.00%1.17B0.00%1.17B--1.17B0.00%1.17B0.00%1.17B--1.17B0.00%1.17B----
-common stock 0.00%1.17B0.00%1.17B0.00%1.17B0.00%1.17B--1.17B0.00%1.17B0.00%1.17B--1.17B0.00%1.17B----
Additional paid-in capital 0.00%27.73B0.00%27.73B0.00%27.73B0.00%27.73B--27.73B0.00%27.73B0.00%27.73B--27.73B0.00%27.73B----
Less: Treasury stock 0.00%38M0.00%38M------955M-----88.59%38M-88.59%38M------------
Retained earnings 9.35%33.35B9.35%33.35B4.46%30.9B7.52%30.03B--32.68B2.75%30.5B2.75%30.5B--29.58B-12.01%27.93B----
Other reserves -16.23%-6.85B-16.23%-6.85B6.69%-6.77B0.11%-7.3B---6.42B32.16%-5.89B32.16%-5.89B---7.26B20.09%-7.31B----
Other equity interest 3.19%4.92B3.19%4.92B-2.49%4.74B0.83%4.83B--4.82B-1.63%4.76B-1.63%4.76B--4.86B-2.02%4.79B----
Total stockholders'equity 3.52%60.29B3.52%60.29B3.00%57.77B2.20%55.51B5.65%59.98B7.03%58.24B7.03%58.24B7.98%56.09B-3.68%54.32B-18.64%56.77B
Noncontrolling interests 14.09%3.79B14.09%3.79B-21.54%3.61B-26.79%3.3B-25.42%3.44B-23.13%3.32B-23.13%3.32B20.42%4.6B15.78%4.51B11.58%4.61B
Total equity 4.09%64.08B4.09%64.08B1.14%61.38B-0.02%58.81B3.32%63.42B4.81%61.56B4.81%61.56B8.83%60.69B-2.42%58.82B-16.95%61.38B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Dividend Kings of Canada Dividend Kings of Canada

Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.

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