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AON Aon PLC

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  • 376.160
  • +7.460+2.02%
Trading Nov 6 10:23 ET
81.35BMarket Cap32.21P/E (TTM)

Aon PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-84.18%1.3B
-86.70%1.16B
-23.33%6.41B
0.44%1.15B
0.44%1.15B
1,086.85%8.21B
784.03%8.69B
696.00%8.36B
36.60%1.14B
36.60%1.14B
-Cash and cash equivalents
36.51%1.1B
2.31%974M
-11.08%995M
12.75%778M
12.75%778M
16.76%808M
28.65%952M
88.07%1.12B
26.84%690M
26.84%690M
-Short-term investments
-97.35%196M
-97.65%182M
-25.22%5.41B
-18.36%369M
-18.36%369M
--7.41B
3,084.36%7.74B
1,490.99%7.24B
54.79%452M
54.79%452M
Receivables
13.77%13.74B
10.93%16.05B
-69.54%4.05B
5.79%3.29B
5.79%3.29B
7.51%12.07B
289.40%14.47B
262.37%13.31B
-1.21%3.11B
-1.21%3.11B
-Accounts receivable
21.33%4B
18.46%4.46B
8.67%4.04B
7.22%3.25B
7.22%3.25B
11.07%3.3B
3.18%3.76B
2.43%3.71B
-1.91%3.04B
-1.91%3.04B
-Taxes receivable
97.44%77M
-27.45%37M
-45.71%19M
-52.70%35M
-52.70%35M
-39.06%39M
-25.00%51M
-27.08%35M
39.62%74M
39.62%74M
-Other receivables
10.54%9.66B
8.46%11.56B
----
----
----
6.58%8.74B
--10.66B
--9.56B
----
----
Prepaid assets
17.01%172M
7.32%176M
-10.49%128M
-8.26%100M
-8.26%100M
19.51%147M
17.14%164M
8.33%143M
-20.44%109M
-20.44%109M
Restricted cash
--7.94B
--7.31B
--17.16B
2.56%16.31B
2.56%16.31B
----
----
----
10.52%15.9B
10.52%15.9B
Current deferred assets
10.62%302M
9.09%264M
4.67%269M
4.23%370M
4.23%370M
6.64%273M
1.26%242M
1.18%257M
-1.66%355M
-1.66%355M
Other current assets
43.97%203M
138.95%227M
107.89%158M
26.85%137M
26.85%137M
17.50%141M
-57.78%95M
-52.20%76M
-34.55%108M
-34.55%108M
Total current assets
11.97%23.65B
6.66%25.54B
29.26%28.62B
4.73%21.7B
4.73%21.7B
10.16%21.13B
8.04%23.95B
7.78%22.14B
8.89%20.72B
8.89%20.72B
Non current assets
Net PPE
5.42%1.4B
1.78%1.38B
-6.70%1.24B
1.08%1.31B
1.08%1.31B
8.32%1.33B
7.22%1.35B
0.15%1.33B
-5.66%1.3B
-5.66%1.3B
-Gross PPE
5.42%1.4B
1.78%1.38B
-6.70%1.24B
4.50%2.81B
4.50%2.81B
8.32%1.33B
7.22%1.35B
0.15%1.33B
-0.19%2.69B
-0.19%2.69B
-Accumulated depreciation
----
----
----
-7.69%-1.5B
-7.69%-1.5B
----
----
----
-5.54%-1.39B
-5.54%-1.39B
Goodwill and other intangible assets
163.63%22.4B
155.85%22.08B
-2.57%8.52B
-1.04%8.65B
-1.04%8.65B
0.74%8.5B
-1.80%8.63B
-3.12%8.74B
-2.10%8.74B
-2.10%8.74B
-Goodwill
89.35%15.61B
82.79%15.28B
-0.20%8.3B
1.47%8.41B
1.47%8.41B
3.33%8.25B
0.78%8.36B
-2.08%8.32B
-1.68%8.29B
-1.68%8.29B
-Other intangible assets
2,594.05%6.79B
2,435.07%6.79B
-48.94%217M
-47.65%234M
-47.65%234M
-44.74%252M
-45.42%268M
-19.81%425M
-9.15%447M
-9.15%447M
Investments and advances
93.33%87M
84.44%83M
26.98%80M
-25.00%45M
-25.00%45M
-27.42%45M
-29.69%45M
1.61%63M
-6.25%60M
-6.25%60M
Non current accounts receivable
-12.75%89M
-12.38%92M
-8.41%98M
-8.26%100M
-8.26%100M
15.91%102M
16.67%105M
15.05%107M
14.74%109M
14.74%109M
Non current deferred assets
16.80%1.41B
23.06%1.41B
34.07%1.45B
37.76%1.39B
37.76%1.39B
21.41%1.21B
20.57%1.15B
13.21%1.08B
6.77%1.01B
6.77%1.01B
Non current prepaid assets
----
----
----
----
----
--673M
--691M
----
----
----
Defined pension benefit
--650M
--629M
-6.70%627M
-5.21%618M
-5.21%618M
----
----
-50.62%672M
-52.27%652M
-52.27%652M
Other non current assets
44.78%194M
85.38%241M
14.78%132M
25.00%140M
25.00%140M
32.67%134M
13.04%130M
-7.26%115M
0.90%112M
0.90%112M
Total non current assets
118.84%26.23B
114.13%25.91B
0.28%12.14B
2.29%12.26B
2.29%12.26B
-0.50%11.99B
-3.61%12.1B
-6.47%12.11B
-7.02%11.98B
-7.02%11.98B
Total assets
50.66%49.89B
42.73%51.45B
19.02%40.77B
3.84%33.96B
3.84%33.96B
6.05%33.11B
3.83%36.05B
2.28%34.25B
2.47%32.7B
2.47%32.7B
Liabilities
Current liabilities
Payables
42.70%2.77B
43.34%2.66B
20.56%2.32B
10.66%2.55B
10.66%2.55B
-4.66%1.94B
-7.35%1.85B
-3.56%1.93B
-1.45%2.31B
-1.45%2.31B
-accounts payable
47.97%2.59B
42.71%2.32B
14.52%1.93B
7.00%2.26B
7.00%2.26B
-2.73%1.75B
-5.96%1.63B
-2.72%1.68B
-3.56%2.11B
-3.56%2.11B
-Total tax payable
-4.62%186M
47.81%337M
62.04%397M
50.78%291M
50.78%291M
-19.09%195M
-16.18%228M
-8.92%245M
29.53%193M
29.53%193M
Current debt and capital lease obligation
-86.40%199M
-86.40%207M
-17.97%785M
22.55%1.39B
22.55%1.39B
64.20%1.46B
62.26%1.52B
18.73%957M
-17.86%1.13B
-17.86%1.13B
-Current debt
----
-99.70%4M
-21.81%606M
27.41%1.2B
27.41%1.2B
80.31%1.28B
81.06%1.34B
29.38%775M
-18.81%945M
-18.81%945M
-Current capital lease obligation
9.94%199M
10.33%203M
-1.65%179M
-2.15%182M
-2.15%182M
0.56%181M
-7.54%184M
-12.08%182M
-12.68%186M
-12.68%186M
Current deferred liabilities
10.64%312M
10.14%391M
6.82%360M
8.00%270M
8.00%270M
12.80%282M
8.56%355M
4.33%337M
-22.12%250M
-22.12%250M
Other current liabilities
10.45%18.81B
5.33%20.24B
5.73%18.37B
4.96%17.44B
4.96%17.44B
9.83%17.03B
7.90%19.22B
8.17%17.38B
10.54%16.62B
10.54%16.62B
Current liabilities
6.64%22.1B
2.39%23.5B
6.04%21.84B
6.62%21.65B
6.62%21.65B
10.88%20.72B
8.88%22.95B
7.33%20.6B
6.46%20.31B
6.46%20.31B
Non current liabilities
Long term debt and capital lease obligation
67.56%17.8B
71.41%18.31B
46.53%16.53B
0.95%10.65B
0.95%10.65B
-1.78%10.62B
2.78%10.68B
7.83%11.28B
16.58%10.55B
16.58%10.55B
-Long term debt
71.43%17.09B
76.29%17.61B
50.48%15.92B
1.73%10B
1.73%10B
-1.45%9.97B
3.34%9.99B
9.21%10.58B
19.41%9.83B
19.41%9.83B
-Long term capital lease obligation
8.70%712M
1.15%702M
-12.62%616M
-9.71%651M
-9.71%651M
-6.43%655M
-4.67%694M
-9.38%705M
-11.86%721M
-11.86%721M
Non current deferred liabilities
630.72%1.12B
666.46%1.21B
5.26%160M
8.82%148M
8.82%148M
-58.08%153M
-60.20%158M
-64.90%152M
-71.13%136M
-71.13%136M
Employee benefits
3.43%1.24B
1.73%1.23B
1.46%1.25B
2.31%1.28B
2.31%1.28B
-7.78%1.2B
-9.56%1.21B
-10.31%1.24B
-12.42%1.26B
-12.42%1.26B
Other non current liabilities
126.67%204M
248.39%324M
52.08%146M
52.63%145M
52.63%145M
-8.16%90M
-10.58%93M
-10.28%96M
-25.20%95M
-25.20%95M
Total non current liabilities
64.91%21.23B
69.48%21.93B
39.39%18.96B
1.74%13.05B
1.74%13.05B
-2.49%12.88B
0.65%12.94B
4.53%13.6B
9.76%12.83B
9.76%12.83B
Total liabilities
28.97%43.33B
26.58%45.43B
19.30%40.8B
4.73%34.7B
4.73%34.7B
5.35%33.6B
5.76%35.89B
6.20%34.2B
7.72%33.13B
7.72%33.13B
Shareholders'equity
Share capital
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-common stock
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
Retained earnings
11.31%-2.68B
-2.75%-2.57B
-13.07%-2.7B
-22.62%-3.4B
-22.62%-3.4B
-14.63%-3.02B
-45.05%-2.51B
-48.42%-2.39B
-63.64%-2.77B
-63.64%-2.77B
Paid-in capital
85.96%13.05B
86.94%12.91B
1.59%6.97B
1.17%6.94B
1.17%6.94B
3.59%7.02B
3.55%6.91B
3.52%6.86B
3.62%6.86B
3.62%6.86B
Gains losses not affecting retained earnings
10.00%-4.12B
-3.23%-4.48B
3.08%-4.4B
5.41%-4.37B
5.41%-4.37B
6.91%-4.58B
-1.83%-4.34B
-18.24%-4.54B
-19.43%-4.62B
-19.43%-4.62B
Total stockholders'equity
1,165.53%6.24B
8,915.38%5.86B
-90.00%-133M
-56.14%-826M
-56.14%-826M
25.16%-586M
-90.50%65M
-105.95%-70M
-149.86%-529M
-149.86%-529M
Noncontrolling interests
209.00%309M
207.22%298M
-17.97%105M
-16.00%84M
-16.00%84M
-11.50%100M
-6.73%97M
12.28%128M
3.09%100M
3.09%100M
Total equity
1,448.35%6.55B
3,620.99%6.03B
-148.28%-28M
-72.96%-742M
-72.96%-742M
27.46%-486M
-79.44%162M
-95.51%58M
-137.05%-429M
-137.05%-429M
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
--
--
--
--
Unqualified Opinion
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -84.18%1.3B-86.70%1.16B-23.33%6.41B0.44%1.15B0.44%1.15B1,086.85%8.21B784.03%8.69B696.00%8.36B36.60%1.14B36.60%1.14B
-Cash and cash equivalents 36.51%1.1B2.31%974M-11.08%995M12.75%778M12.75%778M16.76%808M28.65%952M88.07%1.12B26.84%690M26.84%690M
-Short-term investments -97.35%196M-97.65%182M-25.22%5.41B-18.36%369M-18.36%369M--7.41B3,084.36%7.74B1,490.99%7.24B54.79%452M54.79%452M
Receivables 13.77%13.74B10.93%16.05B-69.54%4.05B5.79%3.29B5.79%3.29B7.51%12.07B289.40%14.47B262.37%13.31B-1.21%3.11B-1.21%3.11B
-Accounts receivable 21.33%4B18.46%4.46B8.67%4.04B7.22%3.25B7.22%3.25B11.07%3.3B3.18%3.76B2.43%3.71B-1.91%3.04B-1.91%3.04B
-Taxes receivable 97.44%77M-27.45%37M-45.71%19M-52.70%35M-52.70%35M-39.06%39M-25.00%51M-27.08%35M39.62%74M39.62%74M
-Other receivables 10.54%9.66B8.46%11.56B------------6.58%8.74B--10.66B--9.56B--------
Prepaid assets 17.01%172M7.32%176M-10.49%128M-8.26%100M-8.26%100M19.51%147M17.14%164M8.33%143M-20.44%109M-20.44%109M
Restricted cash --7.94B--7.31B--17.16B2.56%16.31B2.56%16.31B------------10.52%15.9B10.52%15.9B
Current deferred assets 10.62%302M9.09%264M4.67%269M4.23%370M4.23%370M6.64%273M1.26%242M1.18%257M-1.66%355M-1.66%355M
Other current assets 43.97%203M138.95%227M107.89%158M26.85%137M26.85%137M17.50%141M-57.78%95M-52.20%76M-34.55%108M-34.55%108M
Total current assets 11.97%23.65B6.66%25.54B29.26%28.62B4.73%21.7B4.73%21.7B10.16%21.13B8.04%23.95B7.78%22.14B8.89%20.72B8.89%20.72B
Non current assets
Net PPE 5.42%1.4B1.78%1.38B-6.70%1.24B1.08%1.31B1.08%1.31B8.32%1.33B7.22%1.35B0.15%1.33B-5.66%1.3B-5.66%1.3B
-Gross PPE 5.42%1.4B1.78%1.38B-6.70%1.24B4.50%2.81B4.50%2.81B8.32%1.33B7.22%1.35B0.15%1.33B-0.19%2.69B-0.19%2.69B
-Accumulated depreciation -------------7.69%-1.5B-7.69%-1.5B-------------5.54%-1.39B-5.54%-1.39B
Goodwill and other intangible assets 163.63%22.4B155.85%22.08B-2.57%8.52B-1.04%8.65B-1.04%8.65B0.74%8.5B-1.80%8.63B-3.12%8.74B-2.10%8.74B-2.10%8.74B
-Goodwill 89.35%15.61B82.79%15.28B-0.20%8.3B1.47%8.41B1.47%8.41B3.33%8.25B0.78%8.36B-2.08%8.32B-1.68%8.29B-1.68%8.29B
-Other intangible assets 2,594.05%6.79B2,435.07%6.79B-48.94%217M-47.65%234M-47.65%234M-44.74%252M-45.42%268M-19.81%425M-9.15%447M-9.15%447M
Investments and advances 93.33%87M84.44%83M26.98%80M-25.00%45M-25.00%45M-27.42%45M-29.69%45M1.61%63M-6.25%60M-6.25%60M
Non current accounts receivable -12.75%89M-12.38%92M-8.41%98M-8.26%100M-8.26%100M15.91%102M16.67%105M15.05%107M14.74%109M14.74%109M
Non current deferred assets 16.80%1.41B23.06%1.41B34.07%1.45B37.76%1.39B37.76%1.39B21.41%1.21B20.57%1.15B13.21%1.08B6.77%1.01B6.77%1.01B
Non current prepaid assets ----------------------673M--691M------------
Defined pension benefit --650M--629M-6.70%627M-5.21%618M-5.21%618M---------50.62%672M-52.27%652M-52.27%652M
Other non current assets 44.78%194M85.38%241M14.78%132M25.00%140M25.00%140M32.67%134M13.04%130M-7.26%115M0.90%112M0.90%112M
Total non current assets 118.84%26.23B114.13%25.91B0.28%12.14B2.29%12.26B2.29%12.26B-0.50%11.99B-3.61%12.1B-6.47%12.11B-7.02%11.98B-7.02%11.98B
Total assets 50.66%49.89B42.73%51.45B19.02%40.77B3.84%33.96B3.84%33.96B6.05%33.11B3.83%36.05B2.28%34.25B2.47%32.7B2.47%32.7B
Liabilities
Current liabilities
Payables 42.70%2.77B43.34%2.66B20.56%2.32B10.66%2.55B10.66%2.55B-4.66%1.94B-7.35%1.85B-3.56%1.93B-1.45%2.31B-1.45%2.31B
-accounts payable 47.97%2.59B42.71%2.32B14.52%1.93B7.00%2.26B7.00%2.26B-2.73%1.75B-5.96%1.63B-2.72%1.68B-3.56%2.11B-3.56%2.11B
-Total tax payable -4.62%186M47.81%337M62.04%397M50.78%291M50.78%291M-19.09%195M-16.18%228M-8.92%245M29.53%193M29.53%193M
Current debt and capital lease obligation -86.40%199M-86.40%207M-17.97%785M22.55%1.39B22.55%1.39B64.20%1.46B62.26%1.52B18.73%957M-17.86%1.13B-17.86%1.13B
-Current debt -----99.70%4M-21.81%606M27.41%1.2B27.41%1.2B80.31%1.28B81.06%1.34B29.38%775M-18.81%945M-18.81%945M
-Current capital lease obligation 9.94%199M10.33%203M-1.65%179M-2.15%182M-2.15%182M0.56%181M-7.54%184M-12.08%182M-12.68%186M-12.68%186M
Current deferred liabilities 10.64%312M10.14%391M6.82%360M8.00%270M8.00%270M12.80%282M8.56%355M4.33%337M-22.12%250M-22.12%250M
Other current liabilities 10.45%18.81B5.33%20.24B5.73%18.37B4.96%17.44B4.96%17.44B9.83%17.03B7.90%19.22B8.17%17.38B10.54%16.62B10.54%16.62B
Current liabilities 6.64%22.1B2.39%23.5B6.04%21.84B6.62%21.65B6.62%21.65B10.88%20.72B8.88%22.95B7.33%20.6B6.46%20.31B6.46%20.31B
Non current liabilities
Long term debt and capital lease obligation 67.56%17.8B71.41%18.31B46.53%16.53B0.95%10.65B0.95%10.65B-1.78%10.62B2.78%10.68B7.83%11.28B16.58%10.55B16.58%10.55B
-Long term debt 71.43%17.09B76.29%17.61B50.48%15.92B1.73%10B1.73%10B-1.45%9.97B3.34%9.99B9.21%10.58B19.41%9.83B19.41%9.83B
-Long term capital lease obligation 8.70%712M1.15%702M-12.62%616M-9.71%651M-9.71%651M-6.43%655M-4.67%694M-9.38%705M-11.86%721M-11.86%721M
Non current deferred liabilities 630.72%1.12B666.46%1.21B5.26%160M8.82%148M8.82%148M-58.08%153M-60.20%158M-64.90%152M-71.13%136M-71.13%136M
Employee benefits 3.43%1.24B1.73%1.23B1.46%1.25B2.31%1.28B2.31%1.28B-7.78%1.2B-9.56%1.21B-10.31%1.24B-12.42%1.26B-12.42%1.26B
Other non current liabilities 126.67%204M248.39%324M52.08%146M52.63%145M52.63%145M-8.16%90M-10.58%93M-10.28%96M-25.20%95M-25.20%95M
Total non current liabilities 64.91%21.23B69.48%21.93B39.39%18.96B1.74%13.05B1.74%13.05B-2.49%12.88B0.65%12.94B4.53%13.6B9.76%12.83B9.76%12.83B
Total liabilities 28.97%43.33B26.58%45.43B19.30%40.8B4.73%34.7B4.73%34.7B5.35%33.6B5.76%35.89B6.20%34.2B7.72%33.13B7.72%33.13B
Shareholders'equity
Share capital 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-common stock 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
Retained earnings 11.31%-2.68B-2.75%-2.57B-13.07%-2.7B-22.62%-3.4B-22.62%-3.4B-14.63%-3.02B-45.05%-2.51B-48.42%-2.39B-63.64%-2.77B-63.64%-2.77B
Paid-in capital 85.96%13.05B86.94%12.91B1.59%6.97B1.17%6.94B1.17%6.94B3.59%7.02B3.55%6.91B3.52%6.86B3.62%6.86B3.62%6.86B
Gains losses not affecting retained earnings 10.00%-4.12B-3.23%-4.48B3.08%-4.4B5.41%-4.37B5.41%-4.37B6.91%-4.58B-1.83%-4.34B-18.24%-4.54B-19.43%-4.62B-19.43%-4.62B
Total stockholders'equity 1,165.53%6.24B8,915.38%5.86B-90.00%-133M-56.14%-826M-56.14%-826M25.16%-586M-90.50%65M-105.95%-70M-149.86%-529M-149.86%-529M
Noncontrolling interests 209.00%309M207.22%298M-17.97%105M-16.00%84M-16.00%84M-11.50%100M-6.73%97M12.28%128M3.09%100M3.09%100M
Total equity 1,448.35%6.55B3,620.99%6.03B-148.28%-28M-72.96%-742M-72.96%-742M27.46%-486M-79.44%162M-95.51%58M-137.05%-429M-137.05%-429M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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