US Stock MarketDetailed Quotes

AFL Aflac Inc

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  • 108.590
  • +0.620+0.57%
Close Sep 13 16:00 ET
  • 108.620
  • +0.030+0.03%
Post 18:25 ET
60.81BMarket Cap11.44P/E (TTM)

Aflac Inc 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-42.31%255M
-4.61%849M
-17.76%3.19B
-19.36%833M
-4.74%1.03B
-13.33%442M
-29.37%890M
-23.20%3.88B
18.74%1.03B
-41.93%1.08B
Net income from continuing operations
7.41%1.76B
58.16%1.88B
5.45%4.66B
36.73%268M
-11.90%1.57B
17.22%1.63B
13.47%1.19B
4.42%4.42B
-79.26%196M
100.56%1.78B
Operating gains losses
13.91%-990M
-751.82%-1.17B
17.31%-1.26B
-39.24%531M
70.52%-505M
-834.96%-1.15B
75.67%-137M
-20.55%-1.53B
274.80%874M
-364.23%-1.71B
Other non cash items
-660.53%-213M
-54.33%-321M
1,046.40%1.18B
251.04%1.51B
-17.65%-160M
111.21%38M
-156.79%-208M
-122.08%-125M
-35.77%431M
-162.39%-136M
Change in working capital
15.14%-527M
118.60%282M
-844.14%-1.65B
-9,228.57%-1.31B
148.18%146M
-721.00%-621M
-70.62%129M
-76.43%222M
92.00%-14M
-155.60%-303M
-Change in receivables
-1,200.00%-13M
194.12%32M
-2,760.00%-133M
-3,400.00%-175M
108.11%77M
-150.00%-1M
-17.24%-34M
-93.06%5M
-110.00%-5M
42.31%37M
-Change in loss and loss adjustment expense reserves
95.65%-2M
-555.56%-41M
-176.03%-552M
-5,133.33%-453M
-129.81%-62M
-112.57%-46M
-93.71%9M
-6.20%726M
125.00%9M
-28.77%208M
-Change in payables and accrued expense
10.80%-512M
88.96%291M
-89.98%-967M
-3,666.67%-678M
123.91%131M
-114.18%-574M
-52.62%154M
-630.21%-509M
92.14%-18M
-341.41%-548M
Cash from discontinued operating activities
Operating cash flow
-42.31%255M
-4.61%849M
-17.76%3.19B
-19.36%833M
-4.74%1.03B
-13.33%442M
-29.37%890M
-23.20%3.88B
18.74%1.03B
-41.93%1.08B
Investing cash flow
Cash flow from continuing investing activities
32.08%2.07B
394.81%227M
153.05%817M
-103.75%-1.41B
179.68%741M
21.04%1.57B
93.64%-77M
35.24%-1.54B
42.58%-693M
-180.12%-930M
Net investment purchase and sale
322.73%245M
-7.27%-2.02B
-0.82%722M
120.15%1.76B
62.37%958M
-152.63%-110M
-116.67%-1.89B
126.50%728M
390.55%799M
578.16%590M
Net proceeds payment for loan
743.24%312M
24.27%128M
137.79%645M
2,925.00%113M
189.91%392M
104.97%37M
119.69%103M
-44.29%-1.71B
98.93%-4M
-289.29%-436M
Net other investing changes
-7.81%1.51B
24.40%2.12B
1.96%-550M
-120.70%-3.28B
43.82%-609M
-10.39%1.64B
831.69%1.71B
-136.15%-561M
-166.67%-1.49B
-253.09%-1.08B
Cash from discontinued investing activities
Investing cash flow
32.08%2.07B
394.81%227M
153.05%817M
-103.75%-1.41B
179.68%741M
21.04%1.57B
93.64%-77M
35.24%-1.54B
42.58%-693M
-180.12%-930M
Financing cash flow
Cash flow from continuing financing activities
-30.56%-1.32B
72.56%-256M
-4.84%-3.72B
39.23%-787M
-62.09%-992M
-11.47%-1.01B
-26.59%-933M
-29.65%-3.55B
-53.80%-1.3B
19.05%-612M
Net issuance payments of debt
---194M
--823M
246.76%204M
145.33%204M
--0
--0
--0
-130.68%-139M
---450M
----
Net common stock issuance
-13.92%-794M
-6.59%-744M
-16.78%-2.78B
-15.89%-693M
-7.74%-696M
-7.40%-697M
-42.16%-698M
-4.79%-2.38B
2.29%-598M
-22.81%-646M
Cash dividends paid
-11.93%-272M
-12.10%-278M
1.33%-966M
1.26%-236M
1.24%-239M
2.02%-243M
0.80%-248M
-14.50%-979M
-14.90%-239M
-11.52%-242M
Net other financing charges
15.49%-60M
-538.46%-57M
-261.22%-177M
-675.00%-62M
-62.86%-57M
-610.00%-71M
225.00%13M
20.97%-49M
63.64%-8M
-169.23%-35M
Cash from discontinued financing activities
Financing cash flow
-30.56%-1.32B
72.56%-256M
-4.84%-3.72B
39.23%-787M
-62.09%-992M
-11.47%-1.01B
-26.59%-933M
-29.65%-3.55B
-53.80%-1.3B
19.05%-612M
Net cash flow
Beginning cash position
33.84%5.1B
9.21%4.31B
-21.94%3.94B
16.82%5.5B
-8.76%4.72B
-10.90%3.81B
-21.94%3.94B
-1.75%5.05B
-24.13%4.71B
-5.41%5.17B
Current changes in cash
0.60%1B
783.33%820M
123.43%284M
-43.04%-1.37B
266.09%774M
11.16%996M
82.53%-120M
-1,736.36%-1.21B
19.00%-955M
-160.92%-466M
Effect of exchange rate changes
52.94%-40M
-100.00%-28M
-24.04%79M
-9.57%170M
166.67%8M
-4,350.00%-85M
84.27%-14M
533.33%104M
754.55%188M
111.54%3M
End cash position
28.39%6.06B
33.84%5.1B
9.21%4.31B
9.21%4.31B
16.82%5.5B
-8.76%4.72B
-10.90%3.81B
-21.94%3.94B
-21.94%3.94B
-24.13%4.71B
Free cash flow
-42.31%255M
-4.61%849M
-17.76%3.19B
-19.36%833M
-4.74%1.03B
-13.33%442M
-29.37%890M
-23.20%3.88B
18.74%1.03B
-41.93%1.08B
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
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -42.31%255M-4.61%849M-17.76%3.19B-19.36%833M-4.74%1.03B-13.33%442M-29.37%890M-23.20%3.88B18.74%1.03B-41.93%1.08B
Net income from continuing operations 7.41%1.76B58.16%1.88B5.45%4.66B36.73%268M-11.90%1.57B17.22%1.63B13.47%1.19B4.42%4.42B-79.26%196M100.56%1.78B
Operating gains losses 13.91%-990M-751.82%-1.17B17.31%-1.26B-39.24%531M70.52%-505M-834.96%-1.15B75.67%-137M-20.55%-1.53B274.80%874M-364.23%-1.71B
Other non cash items -660.53%-213M-54.33%-321M1,046.40%1.18B251.04%1.51B-17.65%-160M111.21%38M-156.79%-208M-122.08%-125M-35.77%431M-162.39%-136M
Change in working capital 15.14%-527M118.60%282M-844.14%-1.65B-9,228.57%-1.31B148.18%146M-721.00%-621M-70.62%129M-76.43%222M92.00%-14M-155.60%-303M
-Change in receivables -1,200.00%-13M194.12%32M-2,760.00%-133M-3,400.00%-175M108.11%77M-150.00%-1M-17.24%-34M-93.06%5M-110.00%-5M42.31%37M
-Change in loss and loss adjustment expense reserves 95.65%-2M-555.56%-41M-176.03%-552M-5,133.33%-453M-129.81%-62M-112.57%-46M-93.71%9M-6.20%726M125.00%9M-28.77%208M
-Change in payables and accrued expense 10.80%-512M88.96%291M-89.98%-967M-3,666.67%-678M123.91%131M-114.18%-574M-52.62%154M-630.21%-509M92.14%-18M-341.41%-548M
Cash from discontinued operating activities
Operating cash flow -42.31%255M-4.61%849M-17.76%3.19B-19.36%833M-4.74%1.03B-13.33%442M-29.37%890M-23.20%3.88B18.74%1.03B-41.93%1.08B
Investing cash flow
Cash flow from continuing investing activities 32.08%2.07B394.81%227M153.05%817M-103.75%-1.41B179.68%741M21.04%1.57B93.64%-77M35.24%-1.54B42.58%-693M-180.12%-930M
Net investment purchase and sale 322.73%245M-7.27%-2.02B-0.82%722M120.15%1.76B62.37%958M-152.63%-110M-116.67%-1.89B126.50%728M390.55%799M578.16%590M
Net proceeds payment for loan 743.24%312M24.27%128M137.79%645M2,925.00%113M189.91%392M104.97%37M119.69%103M-44.29%-1.71B98.93%-4M-289.29%-436M
Net other investing changes -7.81%1.51B24.40%2.12B1.96%-550M-120.70%-3.28B43.82%-609M-10.39%1.64B831.69%1.71B-136.15%-561M-166.67%-1.49B-253.09%-1.08B
Cash from discontinued investing activities
Investing cash flow 32.08%2.07B394.81%227M153.05%817M-103.75%-1.41B179.68%741M21.04%1.57B93.64%-77M35.24%-1.54B42.58%-693M-180.12%-930M
Financing cash flow
Cash flow from continuing financing activities -30.56%-1.32B72.56%-256M-4.84%-3.72B39.23%-787M-62.09%-992M-11.47%-1.01B-26.59%-933M-29.65%-3.55B-53.80%-1.3B19.05%-612M
Net issuance payments of debt ---194M--823M246.76%204M145.33%204M--0--0--0-130.68%-139M---450M----
Net common stock issuance -13.92%-794M-6.59%-744M-16.78%-2.78B-15.89%-693M-7.74%-696M-7.40%-697M-42.16%-698M-4.79%-2.38B2.29%-598M-22.81%-646M
Cash dividends paid -11.93%-272M-12.10%-278M1.33%-966M1.26%-236M1.24%-239M2.02%-243M0.80%-248M-14.50%-979M-14.90%-239M-11.52%-242M
Net other financing charges 15.49%-60M-538.46%-57M-261.22%-177M-675.00%-62M-62.86%-57M-610.00%-71M225.00%13M20.97%-49M63.64%-8M-169.23%-35M
Cash from discontinued financing activities
Financing cash flow -30.56%-1.32B72.56%-256M-4.84%-3.72B39.23%-787M-62.09%-992M-11.47%-1.01B-26.59%-933M-29.65%-3.55B-53.80%-1.3B19.05%-612M
Net cash flow
Beginning cash position 33.84%5.1B9.21%4.31B-21.94%3.94B16.82%5.5B-8.76%4.72B-10.90%3.81B-21.94%3.94B-1.75%5.05B-24.13%4.71B-5.41%5.17B
Current changes in cash 0.60%1B783.33%820M123.43%284M-43.04%-1.37B266.09%774M11.16%996M82.53%-120M-1,736.36%-1.21B19.00%-955M-160.92%-466M
Effect of exchange rate changes 52.94%-40M-100.00%-28M-24.04%79M-9.57%170M166.67%8M-4,350.00%-85M84.27%-14M533.33%104M754.55%188M111.54%3M
End cash position 28.39%6.06B33.84%5.1B9.21%4.31B9.21%4.31B16.82%5.5B-8.76%4.72B-10.90%3.81B-21.94%3.94B-21.94%3.94B-24.13%4.71B
Free cash flow -42.31%255M-4.61%849M-17.76%3.19B-19.36%833M-4.74%1.03B-13.33%442M-29.37%890M-23.20%3.88B18.74%1.03B-41.93%1.08B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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