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CRBG Corebridge Financial

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  • 26.260
  • +0.360+1.39%
Close Aug 9 16:00 ET
  • 26.220
  • -0.040-0.15%
Post 20:01 ET
15.55BMarket Cap8.10P/E (TTM)

Corebridge Financial 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
-100.71%-9M
98.67%598M
28.08%3.36B
62.85%767M
-36.97%1.02B
136.25%1.27B
10,133.33%301M
8.98%2.62B
26.27%471M
167.83%1.62B
Net income from continuing operations
-54.59%341M
282.56%827M
-87.78%1.04B
-692.26%-1.33B
-18.29%2.07B
-71.91%751M
-113.16%-453M
-7.56%8.48B
-103.63%-168M
61.07%2.53B
Operating gains losses
46.53%296M
464.29%395M
-229.54%-364M
-839.76%-614M
57.69%-22M
-3.35%202M
70.73%70M
105.84%281M
102.13%83M
89.14%-52M
Change in working capital
-619.55%-930M
-438.39%-379M
113.06%801M
539.59%1.29B
-89.76%-778M
107.72%179M
103.60%112M
-707.91%-6.13B
-156.45%-293M
-94.31%-410M
-Change in loss and loss adjustment expense reserves
-75.14%89M
763.41%354M
-22.69%770M
175.50%416M
-106.50%-45M
-1.92%358M
119.34%41M
-35.16%996M
33.63%151M
11.08%692M
-Change in deferred acquisition costs
-10.97%-344M
-6.92%-340M
-18.98%-1.26B
-15.58%-319M
-18.56%-313M
-20.16%-310M
-21.84%-318M
-0.09%-1.06B
0.00%-276M
-3.94%-264M
-Change in reinsurance recoverable on paid and unpaid losses
0.39%260M
291.38%227M
-37.85%675M
315.79%79M
-15.96%279M
-38.92%259M
-81.35%58M
253.75%1.09B
-93.26%19M
236.63%332M
-Change in funds withheld
12.72%-542M
-190.89%-489M
98.39%-137M
1,402.59%1.51B
22.87%-1.57B
78.65%-621M
115.63%538M
-632.50%-8.5B
-190.00%-116M
-852.58%-2.03B
-Change in other working capital
-179.72%-393M
36.71%-131M
-43.89%753M
-461.97%-399M
0.81%866M
735.59%493M
-141.82%-207M
449.48%1.34B
-116.14%-71M
792.74%859M
Cash from discontinued operating activities
Operating cash flow
-100.71%-9M
98.67%598M
28.08%3.36B
62.85%767M
-36.97%1.02B
136.25%1.27B
10,133.33%301M
8.98%2.62B
26.27%471M
167.83%1.62B
Investing cash flow
Cash flow from continuing investing activities
-324.70%-1.32B
-79.08%-2.65B
24.50%-5.48B
43.69%-2.21B
-171.66%-2.38B
148.55%587M
-18.54%-1.48B
-268.73%-7.25B
-464.25%-3.92B
42.66%-875M
Net investment purchase and sale
-182.13%-1.11B
-189.80%-1.45B
-639.57%-3.48B
-41.58%-2.6B
-58.01%-1.73B
-16.52%1.35B
-159.38%-500M
72.07%-470M
-383.18%-1.84B
-13.85%-1.09B
Net proceeds payment for loan
-1.60%-762M
0.35%-1.15B
52.98%-3B
70.37%-542M
-193.68%-558M
71.97%-750M
31.88%-1.15B
-397.59%-6.39B
-259.33%-1.83B
77.59%-190M
Net business purchase and sale
11,640.00%577M
--0
793.46%742M
--715M
--0
---5M
129.91%32M
-109.87%-107M
--0
--0
Net other investing changes
-271.43%-26M
-131.72%-46M
191.29%262M
183.40%216M
-122.55%-92M
95.30%-7M
150.52%145M
-241.67%-287M
-2,777.78%-259M
181.38%408M
Cash from discontinued investing activities
Investing cash flow
-324.70%-1.32B
-79.08%-2.65B
24.50%-5.48B
43.69%-2.21B
-171.66%-2.38B
148.55%587M
-18.54%-1.48B
-268.73%-7.25B
-464.25%-3.92B
42.66%-875M
Financing cash flow
Cash flow from continuing financing activities
197.55%1.56B
73.15%1.84B
-54.77%2.11B
-60.08%1.45B
245.12%1.19B
-364.95%-1.6B
-14.80%1.07B
720.72%4.67B
296.86%3.64B
-188.17%-820M
Increase decrease in deposit
3.07%-2.02B
354.52%1.13B
15.92%-544M
-38.24%1.75B
107.20%234M
-2,138.71%-2.08B
-240.00%-442M
-7,288.89%-647M
282,600.00%2.83B
-29,654.55%-3.25B
Net issuance payments of debt
-465.85%-232M
36.89%-65M
-187.80%-324M
-184.62%-148M
-106.08%-32M
40.58%-41M
-186.11%-103M
140.42%369M
78.69%-52M
10,620.00%526M
Net common stock issuance
-118.00%-436M
---242M
---498M
---252M
---46M
---200M
--0
--0
--0
--0
Cash dividends paid
74.77%-139M
4.03%-143M
-96.58%-1.72B
-195.95%-876M
---146M
-90.00%-551M
48.62%-149M
44.45%-876M
46.76%-296M
--0
Net other financing charges
242.53%4.38B
-33.54%1.17B
-10.74%5.2B
-15.39%984M
-38.06%1.18B
21.35%1.28B
3.11%1.76B
237.27%5.83B
210.66%1.16B
83.88%1.91B
Cash from discontinued financing activities
Financing cash flow
197.55%1.56B
73.15%1.84B
-54.77%2.11B
-60.08%1.45B
245.12%1.19B
-364.95%-1.6B
-14.80%1.07B
720.72%4.67B
296.86%3.64B
-188.17%-820M
Net cash flow
Beginning cash position
-18.70%426M
-0.79%628M
5.32%633M
30.86%581M
48.96%788M
-12.67%524M
5.32%633M
-34.53%601M
-21.55%444M
-46.83%529M
Current changes in cash
-13.31%228M
-82.88%-203M
-111.90%-5M
-93.68%12M
-111.25%-169M
481.16%263M
-11,200.00%-111M
113.33%42M
147.50%190M
-1,242.86%-80M
Effect of exchange rate changes
-200.00%-1M
-50.00%1M
130.00%3M
--0
--0
150.00%1M
200.00%2M
-400.00%-10M
0.00%-1M
---5M
End cash position
-17.13%653M
-18.70%426M
-0.79%628M
-0.79%628M
30.86%581M
48.96%788M
-12.67%524M
5.32%633M
5.32%633M
-21.55%444M
Free cash flow
-100.71%-9M
98.67%598M
28.08%3.36B
62.85%767M
-36.97%1.02B
136.25%1.27B
10,133.33%301M
8.98%2.62B
26.27%471M
167.83%1.62B
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
--
--
(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 -100.71%-9M98.67%598M28.08%3.36B62.85%767M-36.97%1.02B136.25%1.27B10,133.33%301M8.98%2.62B26.27%471M167.83%1.62B
Net income from continuing operations -54.59%341M282.56%827M-87.78%1.04B-692.26%-1.33B-18.29%2.07B-71.91%751M-113.16%-453M-7.56%8.48B-103.63%-168M61.07%2.53B
Operating gains losses 46.53%296M464.29%395M-229.54%-364M-839.76%-614M57.69%-22M-3.35%202M70.73%70M105.84%281M102.13%83M89.14%-52M
Change in working capital -619.55%-930M-438.39%-379M113.06%801M539.59%1.29B-89.76%-778M107.72%179M103.60%112M-707.91%-6.13B-156.45%-293M-94.31%-410M
-Change in loss and loss adjustment expense reserves -75.14%89M763.41%354M-22.69%770M175.50%416M-106.50%-45M-1.92%358M119.34%41M-35.16%996M33.63%151M11.08%692M
-Change in deferred acquisition costs -10.97%-344M-6.92%-340M-18.98%-1.26B-15.58%-319M-18.56%-313M-20.16%-310M-21.84%-318M-0.09%-1.06B0.00%-276M-3.94%-264M
-Change in reinsurance recoverable on paid and unpaid losses 0.39%260M291.38%227M-37.85%675M315.79%79M-15.96%279M-38.92%259M-81.35%58M253.75%1.09B-93.26%19M236.63%332M
-Change in funds withheld 12.72%-542M-190.89%-489M98.39%-137M1,402.59%1.51B22.87%-1.57B78.65%-621M115.63%538M-632.50%-8.5B-190.00%-116M-852.58%-2.03B
-Change in other working capital -179.72%-393M36.71%-131M-43.89%753M-461.97%-399M0.81%866M735.59%493M-141.82%-207M449.48%1.34B-116.14%-71M792.74%859M
Cash from discontinued operating activities
Operating cash flow -100.71%-9M98.67%598M28.08%3.36B62.85%767M-36.97%1.02B136.25%1.27B10,133.33%301M8.98%2.62B26.27%471M167.83%1.62B
Investing cash flow
Cash flow from continuing investing activities -324.70%-1.32B-79.08%-2.65B24.50%-5.48B43.69%-2.21B-171.66%-2.38B148.55%587M-18.54%-1.48B-268.73%-7.25B-464.25%-3.92B42.66%-875M
Net investment purchase and sale -182.13%-1.11B-189.80%-1.45B-639.57%-3.48B-41.58%-2.6B-58.01%-1.73B-16.52%1.35B-159.38%-500M72.07%-470M-383.18%-1.84B-13.85%-1.09B
Net proceeds payment for loan -1.60%-762M0.35%-1.15B52.98%-3B70.37%-542M-193.68%-558M71.97%-750M31.88%-1.15B-397.59%-6.39B-259.33%-1.83B77.59%-190M
Net business purchase and sale 11,640.00%577M--0793.46%742M--715M--0---5M129.91%32M-109.87%-107M--0--0
Net other investing changes -271.43%-26M-131.72%-46M191.29%262M183.40%216M-122.55%-92M95.30%-7M150.52%145M-241.67%-287M-2,777.78%-259M181.38%408M
Cash from discontinued investing activities
Investing cash flow -324.70%-1.32B-79.08%-2.65B24.50%-5.48B43.69%-2.21B-171.66%-2.38B148.55%587M-18.54%-1.48B-268.73%-7.25B-464.25%-3.92B42.66%-875M
Financing cash flow
Cash flow from continuing financing activities 197.55%1.56B73.15%1.84B-54.77%2.11B-60.08%1.45B245.12%1.19B-364.95%-1.6B-14.80%1.07B720.72%4.67B296.86%3.64B-188.17%-820M
Increase decrease in deposit 3.07%-2.02B354.52%1.13B15.92%-544M-38.24%1.75B107.20%234M-2,138.71%-2.08B-240.00%-442M-7,288.89%-647M282,600.00%2.83B-29,654.55%-3.25B
Net issuance payments of debt -465.85%-232M36.89%-65M-187.80%-324M-184.62%-148M-106.08%-32M40.58%-41M-186.11%-103M140.42%369M78.69%-52M10,620.00%526M
Net common stock issuance -118.00%-436M---242M---498M---252M---46M---200M--0--0--0--0
Cash dividends paid 74.77%-139M4.03%-143M-96.58%-1.72B-195.95%-876M---146M-90.00%-551M48.62%-149M44.45%-876M46.76%-296M--0
Net other financing charges 242.53%4.38B-33.54%1.17B-10.74%5.2B-15.39%984M-38.06%1.18B21.35%1.28B3.11%1.76B237.27%5.83B210.66%1.16B83.88%1.91B
Cash from discontinued financing activities
Financing cash flow 197.55%1.56B73.15%1.84B-54.77%2.11B-60.08%1.45B245.12%1.19B-364.95%-1.6B-14.80%1.07B720.72%4.67B296.86%3.64B-188.17%-820M
Net cash flow
Beginning cash position -18.70%426M-0.79%628M5.32%633M30.86%581M48.96%788M-12.67%524M5.32%633M-34.53%601M-21.55%444M-46.83%529M
Current changes in cash -13.31%228M-82.88%-203M-111.90%-5M-93.68%12M-111.25%-169M481.16%263M-11,200.00%-111M113.33%42M147.50%190M-1,242.86%-80M
Effect of exchange rate changes -200.00%-1M-50.00%1M130.00%3M--0--0150.00%1M200.00%2M-400.00%-10M0.00%-1M---5M
End cash position -17.13%653M-18.70%426M-0.79%628M-0.79%628M30.86%581M48.96%788M-12.67%524M5.32%633M5.32%633M-21.55%444M
Free cash flow -100.71%-9M98.67%598M28.08%3.36B62.85%767M-36.97%1.02B136.25%1.27B10,133.33%301M8.98%2.62B26.27%471M167.83%1.62B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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