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AEG Aegon Ltd

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  • 6.285
  • +0.145+2.36%
Trading Oct 4 10:20 ET
11.01BMarket Cap-114272P/E (TTM)

Aegon Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Total investments
7.93%286.21B
4.99%272.4B
-26.82%265.18B
-38.42%259.45B
-38.42%259.45B
-12.16%359.89B
-11.37%362.36B
-1.57%392.8B
7.03%421.29B
7.03%421.29B
-Fixed maturity investments
----
----
----
----
----
-24.01%14.89B
-18.67%15.91B
-7.84%18.08B
----
----
-Equity investments
9.63%229.02B
7.75%215.53B
577.38%208.9B
--200.04B
--200.04B
-15.96%29.78B
-10.86%30.84B
1.45%33.87B
----
----
-Net loan
----
----
----
----
----
3.44%48.59B
3.55%48.08B
2.08%47.35B
----
----
-Derivative assets
10.43%889M
-48.43%1.43B
-90.90%805M
-68.66%2.77B
-68.66%2.77B
15.56%13.24B
-23.08%8.85B
-31.25%7.88B
-36.77%8.84B
-36.77%8.84B
-Investments in other ventures under equity method
160.54%4.41B
171.85%4.34B
-47.24%1.69B
-46.90%1.6B
-46.90%1.6B
10.61%3.23B
15.14%3.21B
16.43%3.14B
13.79%3B
13.79%3B
-Short term investments
-3.52%51.4B
-7.12%50.36B
-36.14%53.28B
--54.22B
--54.22B
-21.22%81.18B
-18.52%83.43B
-7.06%93.79B
----
----
-Other invested assets
-2.58%491M
-9.69%746M
-99.71%504M
-99.80%826M
-99.80%826M
-11.20%168.98B
-10.20%172.04B
2.21%188.7B
131.82%409.44B
131.82%409.44B
Cash and cash equivalents
3.70%3.89B
19.75%4.07B
-52.53%3.76B
-50.42%3.4B
-50.42%3.4B
26.68%8.05B
1.59%7.91B
-1.96%7.11B
-18.01%6.86B
-18.01%6.86B
Reinsurance recoverable
-1.21%16.27B
-1.95%16.61B
-25.70%16.47B
-20.56%16.94B
-20.56%16.94B
17.32%23.3B
14.27%22.16B
8.39%21.42B
12.76%21.32B
12.76%21.32B
Receivables
----
-54.60%3.57B
----
--7.86B
--7.86B
----
----
----
----
----
-Accounts receivable
----
-54.60%3.57B
----
--7.86B
--7.86B
----
----
----
----
----
Accrued investment income
----
-9.58%736M
----
--814M
--814M
----
----
----
----
----
Deferred assets
4.25%466M
-1.11%447M
-96.54%447M
5.61%452M
5.61%452M
46.24%14.11B
33.71%12.92B
16.09%11.52B
-95.14%428M
-95.14%428M
Net PPE
----
-5.06%150M
----
--158M
--158M
----
----
----
----
----
Goodwill and other intangible assets
55.31%570M
20.00%504M
-74.26%367M
-28.21%420M
-28.21%420M
15.07%1.51B
1.78%1.43B
-6.31%1.37B
-57.79%585M
-57.79%585M
-Goodwill
----
-7.91%291M
----
--316M
--316M
----
----
----
----
----
-Other intangible assets
----
104.81%213M
----
--104M
--104M
----
----
----
----
----
Defined pension benefit
----
18.39%103M
----
-26.89%87M
-26.89%87M
----
----
----
176.74%119M
176.74%119M
Assets of discontinued operations
-99.50%445M
-99.51%432M
--88.54B
--88.66B
--88.66B
----
----
----
--0
--0
Other assets
-9.88%5.52B
505.88%206M
-57.95%6.12B
-99.50%34M
-99.50%34M
37.92%17.65B
18.24%14.56B
6.58%14.08B
62.32%6.79B
62.32%6.79B
Total assets
-17.58%315.87B
-20.78%301.58B
-9.04%383.26B
-17.16%380.71B
-17.16%380.71B
-7.65%424.51B
-8.29%421.33B
-0.53%448.3B
3.55%459.56B
3.55%459.56B
Liabilities
Policy holders liabilities reserve
3.17%183.33B
0.75%177.45B
-28.61%177.7B
-39.28%176.12B
-39.28%176.12B
-5.77%250.86B
-5.94%248.9B
-0.01%261.92B
14.37%290.07B
14.37%290.07B
Payables
----
-6.26%3.77B
----
--4.03B
--4.03B
----
----
----
----
----
-Accounts payable
----
85.76%2.11B
----
--1.14B
--1.14B
----
----
----
----
----
-Total tax payable
----
1.69%60M
----
--59M
--59M
----
----
----
----
----
-Other payable
----
-43.46%1.6B
----
--2.83B
--2.83B
----
----
----
----
----
Current accrued expenses
----
-11.83%328M
----
-30.73%372M
-30.73%372M
----
----
----
19.07%537M
19.07%537M
Long term provisions
----
-17.00%83M
----
-48.19%100M
-48.19%100M
----
----
----
-37.54%193M
-37.54%193M
Long term debt and capital lease obligation
-14.33%4.62B
-26.34%4.92B
-54.36%5.4B
-44.30%6.67B
-44.30%6.67B
3.73%12.2B
2.26%11.82B
5.80%11.81B
8.91%11.98B
8.91%11.98B
-Long term debt
-14.33%4.62B
-27.12%4.71B
-54.36%5.4B
-46.05%6.46B
-46.05%6.46B
3.73%12.2B
2.26%11.82B
5.80%11.81B
11.61%11.98B
11.61%11.98B
-Long term capital lease obligation
----
-2.38%205M
----
--210M
--210M
----
----
----
----
----
Non current deferred liabilities
----
70.27%63M
----
146.67%37M
146.67%37M
----
----
----
-98.95%15M
-98.95%15M
Unrepurchased pre-sale securities
----
-73.83%28M
----
--107M
--107M
----
----
----
----
----
Employee benefits
----
34.88%669M
----
-87.42%496M
-87.42%496M
----
----
----
-14.93%3.94B
-14.93%3.94B
Derivative product liabilities
-16.06%2.48B
-52.10%2.48B
-76.82%2.96B
-27.50%5.18B
-27.50%5.18B
36.59%19B
-4.79%12.75B
-16.78%11.65B
-51.17%7.14B
-51.17%7.14B
Other liabilities
-37.52%116.82B
-42.13%102.24B
45.43%186.97B
33.73%176.67B
33.73%176.67B
-10.28%127.1B
-10.41%128.56B
0.19%139.15B
4.86%132.11B
4.86%132.11B
Total liabilities
-17.63%307.26B
-21.03%292.03B
-7.22%373.02B
-17.09%369.78B
-17.09%369.78B
-5.63%409.16B
-7.17%402.04B
-0.34%424.53B
6.40%445.98B
6.40%445.98B
Shareholders'equity
Share capital
-16.93%265M
-16.93%265M
-0.93%319M
-97.10%319M
-97.10%319M
-95.66%319M
-95.66%322M
-95.71%321M
3,343.13%11.02B
3,343.13%11.02B
-common stock
-16.93%265M
-16.93%265M
-0.93%319M
-97.10%319M
-97.10%319M
-95.66%319M
-95.66%322M
-95.71%321M
3,343.13%11.02B
3,343.13%11.02B
Paid-in capital
0.00%6.85B
0.00%6.85B
-1.42%6.85B
--6.85B
--6.85B
--6.85B
--6.95B
--7.03B
----
----
Retained earnings
-43.26%3.7B
-34.38%5.1B
-46.94%6.52B
--7.77B
--7.77B
-0.64%11.89B
0.83%12.29B
12.22%12.71B
----
----
Gains losses not affecting retained earnings
23.09%-4.26B
19.45%-4.4B
-129.33%-5.54B
---5.46B
---5.46B
-236.31%-5.85B
-160.15%-2.42B
-65.57%1.11B
----
----
Less: Treasury stock
----
-48.20%346M
----
--668M
--668M
----
----
----
----
----
Other equity interest
0.05%1.94B
0.46%1.95B
0.52%1.94B
-17.77%1.94B
-17.77%1.94B
-17.78%1.93B
-24.58%1.93B
-7.85%2.37B
-7.95%2.36B
-7.95%2.36B
Total stockholders'equity
-15.80%8.49B
-12.38%9.43B
-47.11%10.09B
-19.60%10.76B
-19.60%10.76B
-41.65%15.15B
-27.17%19.07B
-4.31%23.55B
-45.57%13.38B
-45.57%13.38B
Noncontrolling interests
-25.77%121M
-26.70%129M
-27.56%163M
-10.20%176M
-10.20%176M
13.56%201M
45.16%225M
167.07%219M
161.33%196M
161.33%196M
Total equity
-15.95%8.61B
-12.63%9.55B
-46.89%10.25B
-19.46%10.94B
-19.46%10.94B
-41.28%15.35B
-26.74%19.29B
-3.74%23.77B
-44.95%13.58B
-44.95%13.58B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Total investments 7.93%286.21B4.99%272.4B-26.82%265.18B-38.42%259.45B-38.42%259.45B-12.16%359.89B-11.37%362.36B-1.57%392.8B7.03%421.29B7.03%421.29B
-Fixed maturity investments ---------------------24.01%14.89B-18.67%15.91B-7.84%18.08B--------
-Equity investments 9.63%229.02B7.75%215.53B577.38%208.9B--200.04B--200.04B-15.96%29.78B-10.86%30.84B1.45%33.87B--------
-Net loan --------------------3.44%48.59B3.55%48.08B2.08%47.35B--------
-Derivative assets 10.43%889M-48.43%1.43B-90.90%805M-68.66%2.77B-68.66%2.77B15.56%13.24B-23.08%8.85B-31.25%7.88B-36.77%8.84B-36.77%8.84B
-Investments in other ventures under equity method 160.54%4.41B171.85%4.34B-47.24%1.69B-46.90%1.6B-46.90%1.6B10.61%3.23B15.14%3.21B16.43%3.14B13.79%3B13.79%3B
-Short term investments -3.52%51.4B-7.12%50.36B-36.14%53.28B--54.22B--54.22B-21.22%81.18B-18.52%83.43B-7.06%93.79B--------
-Other invested assets -2.58%491M-9.69%746M-99.71%504M-99.80%826M-99.80%826M-11.20%168.98B-10.20%172.04B2.21%188.7B131.82%409.44B131.82%409.44B
Cash and cash equivalents 3.70%3.89B19.75%4.07B-52.53%3.76B-50.42%3.4B-50.42%3.4B26.68%8.05B1.59%7.91B-1.96%7.11B-18.01%6.86B-18.01%6.86B
Reinsurance recoverable -1.21%16.27B-1.95%16.61B-25.70%16.47B-20.56%16.94B-20.56%16.94B17.32%23.3B14.27%22.16B8.39%21.42B12.76%21.32B12.76%21.32B
Receivables -----54.60%3.57B------7.86B--7.86B--------------------
-Accounts receivable -----54.60%3.57B------7.86B--7.86B--------------------
Accrued investment income -----9.58%736M------814M--814M--------------------
Deferred assets 4.25%466M-1.11%447M-96.54%447M5.61%452M5.61%452M46.24%14.11B33.71%12.92B16.09%11.52B-95.14%428M-95.14%428M
Net PPE -----5.06%150M------158M--158M--------------------
Goodwill and other intangible assets 55.31%570M20.00%504M-74.26%367M-28.21%420M-28.21%420M15.07%1.51B1.78%1.43B-6.31%1.37B-57.79%585M-57.79%585M
-Goodwill -----7.91%291M------316M--316M--------------------
-Other intangible assets ----104.81%213M------104M--104M--------------------
Defined pension benefit ----18.39%103M-----26.89%87M-26.89%87M------------176.74%119M176.74%119M
Assets of discontinued operations -99.50%445M-99.51%432M--88.54B--88.66B--88.66B--------------0--0
Other assets -9.88%5.52B505.88%206M-57.95%6.12B-99.50%34M-99.50%34M37.92%17.65B18.24%14.56B6.58%14.08B62.32%6.79B62.32%6.79B
Total assets -17.58%315.87B-20.78%301.58B-9.04%383.26B-17.16%380.71B-17.16%380.71B-7.65%424.51B-8.29%421.33B-0.53%448.3B3.55%459.56B3.55%459.56B
Liabilities
Policy holders liabilities reserve 3.17%183.33B0.75%177.45B-28.61%177.7B-39.28%176.12B-39.28%176.12B-5.77%250.86B-5.94%248.9B-0.01%261.92B14.37%290.07B14.37%290.07B
Payables -----6.26%3.77B------4.03B--4.03B--------------------
-Accounts payable ----85.76%2.11B------1.14B--1.14B--------------------
-Total tax payable ----1.69%60M------59M--59M--------------------
-Other payable -----43.46%1.6B------2.83B--2.83B--------------------
Current accrued expenses -----11.83%328M-----30.73%372M-30.73%372M------------19.07%537M19.07%537M
Long term provisions -----17.00%83M-----48.19%100M-48.19%100M-------------37.54%193M-37.54%193M
Long term debt and capital lease obligation -14.33%4.62B-26.34%4.92B-54.36%5.4B-44.30%6.67B-44.30%6.67B3.73%12.2B2.26%11.82B5.80%11.81B8.91%11.98B8.91%11.98B
-Long term debt -14.33%4.62B-27.12%4.71B-54.36%5.4B-46.05%6.46B-46.05%6.46B3.73%12.2B2.26%11.82B5.80%11.81B11.61%11.98B11.61%11.98B
-Long term capital lease obligation -----2.38%205M------210M--210M--------------------
Non current deferred liabilities ----70.27%63M----146.67%37M146.67%37M-------------98.95%15M-98.95%15M
Unrepurchased pre-sale securities -----73.83%28M------107M--107M--------------------
Employee benefits ----34.88%669M-----87.42%496M-87.42%496M-------------14.93%3.94B-14.93%3.94B
Derivative product liabilities -16.06%2.48B-52.10%2.48B-76.82%2.96B-27.50%5.18B-27.50%5.18B36.59%19B-4.79%12.75B-16.78%11.65B-51.17%7.14B-51.17%7.14B
Other liabilities -37.52%116.82B-42.13%102.24B45.43%186.97B33.73%176.67B33.73%176.67B-10.28%127.1B-10.41%128.56B0.19%139.15B4.86%132.11B4.86%132.11B
Total liabilities -17.63%307.26B-21.03%292.03B-7.22%373.02B-17.09%369.78B-17.09%369.78B-5.63%409.16B-7.17%402.04B-0.34%424.53B6.40%445.98B6.40%445.98B
Shareholders'equity
Share capital -16.93%265M-16.93%265M-0.93%319M-97.10%319M-97.10%319M-95.66%319M-95.66%322M-95.71%321M3,343.13%11.02B3,343.13%11.02B
-common stock -16.93%265M-16.93%265M-0.93%319M-97.10%319M-97.10%319M-95.66%319M-95.66%322M-95.71%321M3,343.13%11.02B3,343.13%11.02B
Paid-in capital 0.00%6.85B0.00%6.85B-1.42%6.85B--6.85B--6.85B--6.85B--6.95B--7.03B--------
Retained earnings -43.26%3.7B-34.38%5.1B-46.94%6.52B--7.77B--7.77B-0.64%11.89B0.83%12.29B12.22%12.71B--------
Gains losses not affecting retained earnings 23.09%-4.26B19.45%-4.4B-129.33%-5.54B---5.46B---5.46B-236.31%-5.85B-160.15%-2.42B-65.57%1.11B--------
Less: Treasury stock -----48.20%346M------668M--668M--------------------
Other equity interest 0.05%1.94B0.46%1.95B0.52%1.94B-17.77%1.94B-17.77%1.94B-17.78%1.93B-24.58%1.93B-7.85%2.37B-7.95%2.36B-7.95%2.36B
Total stockholders'equity -15.80%8.49B-12.38%9.43B-47.11%10.09B-19.60%10.76B-19.60%10.76B-41.65%15.15B-27.17%19.07B-4.31%23.55B-45.57%13.38B-45.57%13.38B
Noncontrolling interests -25.77%121M-26.70%129M-27.56%163M-10.20%176M-10.20%176M13.56%201M45.16%225M167.07%219M161.33%196M161.33%196M
Total equity -15.95%8.61B-12.63%9.55B-46.89%10.25B-19.46%10.94B-19.46%10.94B-41.28%15.35B-26.74%19.29B-3.74%23.77B-44.95%13.58B-44.95%13.58B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--Unqualified Opinion--------Unqualified Opinion--

Analysis

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