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1163PA ALLIANZ-PA

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  • 21.700
  • 0.0000.00%
15min DelayNot Open Aug 22 11:46 CST
3.86BMarket Cap0.00P/E (TTM)

ALLIANZ-PA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Financial asset investment
78.27%24.45B
78.85%23.98B
19.68%9.53B
19.68%9.53B
-29.61%13.93B
-30.65%13.71B
-33.79%13.41B
-60.03%7.97B
-60.03%7.97B
0.21%19.8B
-Available-for-sale securities
78.39%24.44B
79.01%23.97B
----
----
-29.63%13.92B
-30.68%13.7B
-33.79%13.39B
----
----
0.39%19.78B
-Total financial assets designated as fair value through profit or loss
----
----
19.75%9.52B
19.75%9.52B
----
----
----
--7.95B
--7.95B
----
-Financial assets
-16.92%14.3M
-26.51%14.92M
-10.36%17.03M
-10.36%17.03M
-0.06%13.83M
0.17%17.22M
-34.51%20.31M
-59.09%19M
-59.09%19M
-72.65%13.83M
Long term equity investment
----
----
--0
--0
----
----
----
--0
--0
----
Cash, cash equivalents and short term investments
58.29%1.42B
54.83%1.43B
3.12%15.1B
3.12%15.1B
-59.44%730.52M
-43.75%897.22M
-28.59%920.94M
863.53%14.64B
863.53%14.64B
55.79%1.8B
-Cash and cash equivalents
58.29%1.42B
54.83%1.43B
-30.87%1.56B
-30.87%1.56B
-59.44%730.52M
-43.75%897.22M
-28.59%920.94M
48.65%2.26B
48.65%2.26B
55.79%1.8B
-Short-term investments
----
----
9.32%13.54B
9.32%13.54B
----
----
----
--12.38B
--12.38B
----
Net loan
----
----
-20.16%7.13M
-20.16%7.13M
----
----
----
--8.94M
--8.94M
----
Reinsurance assets
-2.66%582.92M
-29.39%480.91M
-18.29%542.26M
-18.29%542.26M
-41.49%577.36M
-43.10%598.87M
-38.84%681.05M
-20.33%663.68M
-20.33%663.68M
7.94%986.8M
Insurance contract assets
----
----
----
----
--9.14B
--8.82B
--8.64B
----
----
----
Receivables
37.83%52.5M
42.50%39.83M
18.28%150.22M
18.28%150.22M
-91.87%39.62M
-93.00%38.09M
-95.35%27.95M
1,188.62%127.01M
1,188.62%127.01M
10.97%487.1M
-Accounts receivable
----
----
----
----
----
----
----
----
----
16.94%315.55M
-Other receivables
----
----
-0.82%113.89M
-0.82%113.89M
----
----
----
--114.84M
--114.84M
-6.56%154.29M
-Taxes receivable
37.83%52.5M
42.50%39.83M
198.59%36.32M
198.59%36.32M
129.48%39.62M
92.89%38.09M
3.34%27.95M
23.43%12.17M
23.43%12.17M
334.78%17.27M
Deposits made under assumed reinsurance contract
----
----
-1.77%4.45M
-1.77%4.45M
----
----
----
--4.53M
--4.53M
----
Prepaid assets
----
----
40.56%499K
40.56%499K
----
----
----
--355K
--355K
----
Deferred policy acquisition cost
----
----
----
----
----
----
----
----
----
10.73%133.25M
Net PPE
16.44%161.95M
17.64%166.74M
11.29%160.63M
11.29%160.63M
6.04%161.75M
-6.99%139.08M
-5.15%141.74M
-4.84%144.34M
-4.84%144.34M
-3.07%152.54M
-Gross PP&E
16.44%161.95M
17.64%166.74M
10.48%409.77M
10.48%409.77M
6.04%161.75M
-6.99%139.08M
-5.15%141.74M
6.78%370.9M
6.78%370.9M
-3.07%152.54M
-Accum depreciation
----
----
-9.96%-249.14M
-9.96%-249.14M
----
----
----
-15.78%-226.57M
-15.78%-226.57M
----
Goodwill and other intangible assets
1.27%421.14M
1.76%425.18M
0.90%425.64M
0.90%425.64M
-0.52%423.06M
-2.85%415.85M
20.59%417.82M
21.06%421.84M
21.06%421.84M
20.53%425.26M
-Goodwill
----
----
0.00%244.6M
0.00%244.6M
----
----
----
0.00%244.6M
0.00%244.6M
----
-Other intangible assets
1.27%421.14M
1.76%425.18M
2.15%181.04M
2.15%181.04M
-0.52%423.06M
-2.85%415.85M
20.59%417.82M
70.65%177.24M
70.65%177.24M
20.53%425.26M
Deferred tax assets-Non current
----
----
----
----
----
----
----
-23.83%11.64M
-23.83%11.64M
209.26%55.68M
Other assets
90.66%225.16M
157.83%275.63M
----
----
--142.34M
--118.09M
--106.91M
----
----
----
Total assets
10.37%27.31B
10.05%26.79B
8.05%25.92B
8.05%25.92B
5.50%25.15B
4.29%24.75B
1.80%24.35B
4.62%23.99B
4.62%23.99B
4.04%23.84B
Liabilities
Financial or other derivative investment liabilities
----
----
-34.32%10.76M
-34.32%10.76M
----
----
----
--16.38M
--16.38M
----
-Current debt and capital lease obligation
----
----
-34.32%10.76M
-34.32%10.76M
----
----
----
--16.38M
--16.38M
----
-Including:Current capital Lease obligation
----
----
-34.32%10.76M
-34.32%10.76M
----
----
----
--16.38M
--16.38M
----
Insurance contract liabilities
11.55%20.51B
8.97%20.07B
7.24%19.32B
7.24%19.32B
3.76%18.72B
2.97%18.38B
2.27%18.42B
4.56%18.01B
4.56%18.01B
5.91%18.04B
Reinsurance payable balance
21.99%145.34M
--71.45M
-53.66%69.78M
-53.66%69.78M
--105.26M
--119.15M
----
0.18%150.59M
0.18%150.59M
----
Payables
349.86%29.53M
221.93%23.51M
18.99%585.3M
18.99%585.3M
-99.98%232K
-99.50%6.57M
-99.43%7.3M
-17.56%491.88M
-17.56%491.88M
-5.60%1.12B
-Accounts payable
----
----
----
----
----
----
----
----
----
1.31%547.87M
-Total tax payable
349.86%29.53M
221.93%23.51M
137.41%22.41M
137.41%22.41M
-91.98%232K
-46.19%6.57M
-27.04%7.3M
-30.45%9.44M
-30.45%9.44M
-69.20%2.89M
-Dividends payable
----
----
0.00%262.1M
0.00%262.1M
----
----
----
--262.1M
--262.1M
----
-Other payable
----
----
36.51%300.8M
36.51%300.8M
----
----
----
-62.21%220.35M
-62.21%220.35M
-10.50%573.27M
Non-current financial liabilities
171.30%33.01M
139.68%38.14M
375.45%19.42M
375.45%19.42M
23.31%34.73M
-42.07%12.17M
-29.27%15.91M
-84.54%4.09M
-84.54%4.09M
-13.36%28.17M
-Derivative product liabilities
75.15%7.24M
466.43%7.15M
277.03%4.88M
277.03%4.88M
5.63%4.69M
30.84%4.14M
112.27%1.26M
-21.21%1.29M
-21.21%1.29M
95.51%4.44M
-Long term debt and capital lease obligation
220.82%25.76M
111.51%30.99M
421.02%14.55M
421.02%14.55M
26.63%30.04M
-54.99%8.03M
-33.12%14.65M
-88.74%2.79M
-88.74%2.79M
-21.55%23.72M
-Including:Long term capital lease obligation
220.82%25.76M
111.51%30.99M
421.02%14.55M
421.02%14.55M
26.63%30.04M
-54.99%8.03M
-33.12%14.65M
-88.74%2.79M
-88.74%2.79M
-21.55%23.72M
Non current accrued and deferred income
----
----
72.59%134.4M
72.59%134.4M
----
----
----
--77.87M
--77.87M
----
-Non current accrued expenses
----
----
72.59%134.4M
72.59%134.4M
----
----
----
--77.87M
--77.87M
----
Non current deferred liabilities
17.90%629.65M
15.86%584.3M
14.27%539.24M
14.27%539.24M
52.73%556.96M
48.60%534.05M
28.25%504.3M
5.94%471.9M
5.94%471.9M
-9.12%364.66M
Other liabilities
-19.41%569.03M
38.81%670.05M
21.03%106.5M
21.03%106.5M
--570.24M
--706.07M
--482.69M
--87.99M
--87.99M
----
Total liabilities
10.89%21.91B
10.44%21.46B
7.61%20.78B
7.61%20.78B
2.20%19.99B
1.11%19.76B
-1.45%19.43B
4.70%19.31B
4.70%19.31B
4.82%19.56B
Shareholders'equity
Share capital
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
0.00%771.03M
-common stock
1.08%238.58M
0.00%236.04M
0.00%236.04M
0.00%236.04M
0.01%236.04M
0.01%236.04M
0.01%236.04M
0.62%236.04M
0.62%236.04M
0.61%236.01M
-Preferred stock
-0.48%532.45M
0.00%534.99M
0.00%534.99M
0.00%534.99M
-0.01%534.99M
-0.01%534.99M
-0.01%534.99M
-0.27%534.99M
-0.27%534.99M
-0.27%535.02M
Retained earnings
9.23%4.56B
8.87%4.5B
----
----
22.45%4.37B
20.58%4.18B
20.46%4.13B
----
----
4.72%3.57B
Fixed asset revaluation reserve
----
----
----
----
----
----
24.44%53.73M
----
----
0.26%43.18M
Other reserves
74.28%68.48M
293.33%69.9M
11.87%4.37B
11.87%4.37B
117.21%18.09M
142.49%39.29M
11.28%-36.16M
5.16%3.91B
5.16%3.91B
-448.96%-105.09M
Total stockholders'equity
8.32%5.4B
8.51%5.34B
9.91%5.14B
9.91%5.14B
20.60%5.16B
19.14%4.99B
17.06%4.92B
4.28%4.68B
4.28%4.68B
0.61%4.28B
Total equity
8.32%5.4B
8.51%5.34B
9.91%5.14B
9.91%5.14B
20.60%5.16B
19.14%4.99B
17.06%4.92B
4.28%4.68B
4.28%4.68B
0.61%4.28B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Financial asset investment 78.27%24.45B78.85%23.98B19.68%9.53B19.68%9.53B-29.61%13.93B-30.65%13.71B-33.79%13.41B-60.03%7.97B-60.03%7.97B0.21%19.8B
-Available-for-sale securities 78.39%24.44B79.01%23.97B---------29.63%13.92B-30.68%13.7B-33.79%13.39B--------0.39%19.78B
-Total financial assets designated as fair value through profit or loss --------19.75%9.52B19.75%9.52B--------------7.95B--7.95B----
-Financial assets -16.92%14.3M-26.51%14.92M-10.36%17.03M-10.36%17.03M-0.06%13.83M0.17%17.22M-34.51%20.31M-59.09%19M-59.09%19M-72.65%13.83M
Long term equity investment ----------0--0--------------0--0----
Cash, cash equivalents and short term investments 58.29%1.42B54.83%1.43B3.12%15.1B3.12%15.1B-59.44%730.52M-43.75%897.22M-28.59%920.94M863.53%14.64B863.53%14.64B55.79%1.8B
-Cash and cash equivalents 58.29%1.42B54.83%1.43B-30.87%1.56B-30.87%1.56B-59.44%730.52M-43.75%897.22M-28.59%920.94M48.65%2.26B48.65%2.26B55.79%1.8B
-Short-term investments --------9.32%13.54B9.32%13.54B--------------12.38B--12.38B----
Net loan ---------20.16%7.13M-20.16%7.13M--------------8.94M--8.94M----
Reinsurance assets -2.66%582.92M-29.39%480.91M-18.29%542.26M-18.29%542.26M-41.49%577.36M-43.10%598.87M-38.84%681.05M-20.33%663.68M-20.33%663.68M7.94%986.8M
Insurance contract assets ------------------9.14B--8.82B--8.64B------------
Receivables 37.83%52.5M42.50%39.83M18.28%150.22M18.28%150.22M-91.87%39.62M-93.00%38.09M-95.35%27.95M1,188.62%127.01M1,188.62%127.01M10.97%487.1M
-Accounts receivable ------------------------------------16.94%315.55M
-Other receivables ---------0.82%113.89M-0.82%113.89M--------------114.84M--114.84M-6.56%154.29M
-Taxes receivable 37.83%52.5M42.50%39.83M198.59%36.32M198.59%36.32M129.48%39.62M92.89%38.09M3.34%27.95M23.43%12.17M23.43%12.17M334.78%17.27M
Deposits made under assumed reinsurance contract ---------1.77%4.45M-1.77%4.45M--------------4.53M--4.53M----
Prepaid assets --------40.56%499K40.56%499K--------------355K--355K----
Deferred policy acquisition cost ------------------------------------10.73%133.25M
Net PPE 16.44%161.95M17.64%166.74M11.29%160.63M11.29%160.63M6.04%161.75M-6.99%139.08M-5.15%141.74M-4.84%144.34M-4.84%144.34M-3.07%152.54M
-Gross PP&E 16.44%161.95M17.64%166.74M10.48%409.77M10.48%409.77M6.04%161.75M-6.99%139.08M-5.15%141.74M6.78%370.9M6.78%370.9M-3.07%152.54M
-Accum depreciation ---------9.96%-249.14M-9.96%-249.14M-------------15.78%-226.57M-15.78%-226.57M----
Goodwill and other intangible assets 1.27%421.14M1.76%425.18M0.90%425.64M0.90%425.64M-0.52%423.06M-2.85%415.85M20.59%417.82M21.06%421.84M21.06%421.84M20.53%425.26M
-Goodwill --------0.00%244.6M0.00%244.6M------------0.00%244.6M0.00%244.6M----
-Other intangible assets 1.27%421.14M1.76%425.18M2.15%181.04M2.15%181.04M-0.52%423.06M-2.85%415.85M20.59%417.82M70.65%177.24M70.65%177.24M20.53%425.26M
Deferred tax assets-Non current -----------------------------23.83%11.64M-23.83%11.64M209.26%55.68M
Other assets 90.66%225.16M157.83%275.63M----------142.34M--118.09M--106.91M------------
Total assets 10.37%27.31B10.05%26.79B8.05%25.92B8.05%25.92B5.50%25.15B4.29%24.75B1.80%24.35B4.62%23.99B4.62%23.99B4.04%23.84B
Liabilities
Financial or other derivative investment liabilities ---------34.32%10.76M-34.32%10.76M--------------16.38M--16.38M----
-Current debt and capital lease obligation ---------34.32%10.76M-34.32%10.76M--------------16.38M--16.38M----
-Including:Current capital Lease obligation ---------34.32%10.76M-34.32%10.76M--------------16.38M--16.38M----
Insurance contract liabilities 11.55%20.51B8.97%20.07B7.24%19.32B7.24%19.32B3.76%18.72B2.97%18.38B2.27%18.42B4.56%18.01B4.56%18.01B5.91%18.04B
Reinsurance payable balance 21.99%145.34M--71.45M-53.66%69.78M-53.66%69.78M--105.26M--119.15M----0.18%150.59M0.18%150.59M----
Payables 349.86%29.53M221.93%23.51M18.99%585.3M18.99%585.3M-99.98%232K-99.50%6.57M-99.43%7.3M-17.56%491.88M-17.56%491.88M-5.60%1.12B
-Accounts payable ------------------------------------1.31%547.87M
-Total tax payable 349.86%29.53M221.93%23.51M137.41%22.41M137.41%22.41M-91.98%232K-46.19%6.57M-27.04%7.3M-30.45%9.44M-30.45%9.44M-69.20%2.89M
-Dividends payable --------0.00%262.1M0.00%262.1M--------------262.1M--262.1M----
-Other payable --------36.51%300.8M36.51%300.8M-------------62.21%220.35M-62.21%220.35M-10.50%573.27M
Non-current financial liabilities 171.30%33.01M139.68%38.14M375.45%19.42M375.45%19.42M23.31%34.73M-42.07%12.17M-29.27%15.91M-84.54%4.09M-84.54%4.09M-13.36%28.17M
-Derivative product liabilities 75.15%7.24M466.43%7.15M277.03%4.88M277.03%4.88M5.63%4.69M30.84%4.14M112.27%1.26M-21.21%1.29M-21.21%1.29M95.51%4.44M
-Long term debt and capital lease obligation 220.82%25.76M111.51%30.99M421.02%14.55M421.02%14.55M26.63%30.04M-54.99%8.03M-33.12%14.65M-88.74%2.79M-88.74%2.79M-21.55%23.72M
-Including:Long term capital lease obligation 220.82%25.76M111.51%30.99M421.02%14.55M421.02%14.55M26.63%30.04M-54.99%8.03M-33.12%14.65M-88.74%2.79M-88.74%2.79M-21.55%23.72M
Non current accrued and deferred income --------72.59%134.4M72.59%134.4M--------------77.87M--77.87M----
-Non current accrued expenses --------72.59%134.4M72.59%134.4M--------------77.87M--77.87M----
Non current deferred liabilities 17.90%629.65M15.86%584.3M14.27%539.24M14.27%539.24M52.73%556.96M48.60%534.05M28.25%504.3M5.94%471.9M5.94%471.9M-9.12%364.66M
Other liabilities -19.41%569.03M38.81%670.05M21.03%106.5M21.03%106.5M--570.24M--706.07M--482.69M--87.99M--87.99M----
Total liabilities 10.89%21.91B10.44%21.46B7.61%20.78B7.61%20.78B2.20%19.99B1.11%19.76B-1.45%19.43B4.70%19.31B4.70%19.31B4.82%19.56B
Shareholders'equity
Share capital 0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M0.00%771.03M
-common stock 1.08%238.58M0.00%236.04M0.00%236.04M0.00%236.04M0.01%236.04M0.01%236.04M0.01%236.04M0.62%236.04M0.62%236.04M0.61%236.01M
-Preferred stock -0.48%532.45M0.00%534.99M0.00%534.99M0.00%534.99M-0.01%534.99M-0.01%534.99M-0.01%534.99M-0.27%534.99M-0.27%534.99M-0.27%535.02M
Retained earnings 9.23%4.56B8.87%4.5B--------22.45%4.37B20.58%4.18B20.46%4.13B--------4.72%3.57B
Fixed asset revaluation reserve ------------------------24.44%53.73M--------0.26%43.18M
Other reserves 74.28%68.48M293.33%69.9M11.87%4.37B11.87%4.37B117.21%18.09M142.49%39.29M11.28%-36.16M5.16%3.91B5.16%3.91B-448.96%-105.09M
Total stockholders'equity 8.32%5.4B8.51%5.34B9.91%5.14B9.91%5.14B20.60%5.16B19.14%4.99B17.06%4.92B4.28%4.68B4.28%4.68B0.61%4.28B
Total equity 8.32%5.4B8.51%5.34B9.91%5.14B9.91%5.14B20.60%5.16B19.14%4.99B17.06%4.92B4.28%4.68B4.28%4.68B0.61%4.28B
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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