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K6S Prudential USD

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  • 8.090
  • 0.0000.00%
10min DelayMarket Closed Dec 3 15:16 CST
21.51BMarket Cap25.44P/E (TTM)

Prudential USD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
-Financial assets
-39.74%276M
226.01%1.86B
226.01%1.86B
151.65%458M
18.30%569M
18.30%569M
-62.47%182M
-81.49%481M
-81.49%481M
-80.28%485M
Long-term equity investment
-14.29%1.78B
-14.12%1.94B
-14.12%1.94B
3.38%2.08B
-16.27%2.26B
-16.27%2.26B
-2.24%2.01B
37.51%2.7B
37.51%2.7B
36.43%2.06B
Cash, cash equivalents and short term investments
0.98%5.98B
-12.11%1.59B
-12.11%1.59B
-7.72%5.92B
-74.77%1.81B
-74.77%1.81B
1.91%6.42B
-10.58%7.17B
-10.58%7.17B
-24.92%6.3B
-Cash and cash equivalents
0.98%5.98B
-12.11%1.59B
-12.11%1.59B
-7.72%5.92B
-74.77%1.81B
-74.77%1.81B
1.91%6.42B
-10.58%7.17B
-10.58%7.17B
-24.92%6.3B
Restricted cash and cash equivalents
----
-14.68%3.16B
-14.68%3.16B
----
--3.71B
--3.71B
----
----
----
----
Net loan
-5.40%543M
-2.03%578M
-2.03%578M
-76.37%574M
-23.48%590M
-23.48%590M
-0.45%2.43B
-94.71%771M
-94.71%771M
-83.64%2.44B
-Other receivables
65.69%3.4B
10.92%2.16B
10.92%2.16B
-37.11%2.05B
-1.06%1.95B
-1.06%1.95B
-2.01%3.26B
-57.11%1.97B
-57.11%1.97B
-29.57%3.33B
-Taxes receivable
0.00%25M
88.89%34M
88.89%34M
13.64%25M
-10.00%18M
-10.00%18M
-4.35%22M
-95.50%20M
-95.50%20M
-94.06%23M
Net PPE
-1.52%390M
-14.42%374M
-14.42%374M
-2.22%396M
-11.72%437M
-11.72%437M
-22.86%405M
-44.57%495M
-44.57%495M
-45.54%525M
-Gross PP&E
----
1.57%1.23B
1.57%1.23B
----
--1.21B
--1.21B
----
----
----
----
-Accum depreciation
----
-10.61%-855M
-10.61%-855M
----
---773M
---773M
----
----
----
----
Goodwill and other intangible assets
0.26%4.58B
2.26%4.88B
2.26%4.88B
-40.10%4.57B
-3.01%4.77B
-3.01%4.77B
2.28%7.62B
-76.90%4.92B
-76.90%4.92B
-61.88%7.45B
-Goodwill
-6.83%819M
0.67%896M
0.67%896M
0.92%879M
-1.87%890M
-1.87%890M
-5.94%871M
-5.62%907M
-5.62%907M
-1.70%926M
-Other intangible assets
1.95%3.76B
2.63%3.99B
2.63%3.99B
-45.39%3.69B
-3.26%3.88B
-3.26%3.88B
3.45%6.75B
-80.27%4.02B
-80.27%4.02B
-64.93%6.53B
Total assets
5.58%174.69B
8.62%174.07B
8.62%174.07B
-0.86%165.46B
-14.87%160.25B
-14.87%160.25B
-68.22%166.89B
-63.53%188.23B
-63.53%188.23B
13.38%525.12B
Liabilities
-Current debt and capital lease obligation
15.94%960M
-18.91%699M
-18.91%699M
-8.71%828M
--862M
--862M
-0.44%907M
----
----
-44.04%911M
-Including:Current debt
15.94%960M
-18.91%699M
-18.91%699M
-8.71%828M
--862M
--862M
-0.44%907M
----
----
-44.04%911M
Reinsurance payable balance
45.16%1.38B
-2.04%1.15B
-2.04%1.15B
--950M
-6.30%1.18B
-6.30%1.18B
----
--1.25B
--1.25B
----
Payables
-6.48%231M
41.48%4.07B
41.48%4.07B
-2.37%247M
1,453.51%2.87B
1,453.51%2.87B
26.50%253M
-33.93%185M
-33.93%185M
-53.27%200M
-Total tax payable
-6.48%231M
32.21%275M
32.21%275M
-2.37%247M
12.43%208M
12.43%208M
26.50%253M
-33.93%185M
-33.93%185M
-53.27%200M
-Other payable
----
42.20%3.79B
42.20%3.79B
----
--2.67B
--2.67B
----
----
----
----
-Derivative product liabilities
-8.78%426M
-76.22%238M
-76.22%238M
-39.43%467M
282.06%1B
282.06%1B
87.14%771M
-45.64%262M
-45.64%262M
-11.78%412M
-Long term debt and capital lease obligation
0.20%3.93B
-0.93%4.18B
-0.93%4.18B
-6.88%3.92B
-39.70%4.21B
-39.70%4.21B
-34.05%4.21B
-14.47%6.99B
-14.47%6.99B
-10.23%6.39B
-Including:Long term debt
-0.60%3.65B
0.66%3.94B
0.66%3.94B
-6.42%3.68B
-43.98%3.92B
-43.98%3.92B
-34.47%3.93B
-8.94%6.99B
-8.94%6.99B
-8.84%5.99B
-Including:Long term capital lease obligation
12.10%278M
-21.74%234M
-21.74%234M
-13.29%248M
--299M
--299M
-27.59%286M
----
----
-27.12%395M
Long term provisions
6.20%137M
8.74%224M
8.74%224M
-42.67%129M
-11.97%206M
-11.97%206M
-0.88%225M
-33.14%234M
-33.14%234M
-7.35%227M
-Non current accrued expenses
49.10%3.4B
22.00%244M
22.00%244M
-71.90%2.28B
-92.38%200M
-92.38%200M
1.07%8.1B
-83.08%2.62B
-83.08%2.62B
-50.54%8.02B
Other liabilities
5.97%3.5B
-28.23%3.43B
-28.23%3.43B
-38.29%3.3B
-18.89%4.78B
-18.89%4.78B
-13.27%5.35B
-62.61%5.89B
-62.61%5.89B
-59.04%6.17B
Total liabilities
6.28%157.45B
8.88%156.08B
8.88%156.08B
-1.64%148.15B
-15.24%143.35B
-15.24%143.35B
-70.40%150.62B
-65.76%169.12B
-65.76%169.12B
14.65%508.9B
Shareholders'equity
Share capital
0.00%183M
0.55%183M
0.55%183M
0.55%183M
0.00%182M
0.00%182M
5.20%182M
5.20%182M
5.20%182M
0.58%173M
-common stock
0.00%183M
0.55%183M
0.55%183M
0.55%183M
0.00%182M
0.00%182M
5.20%182M
5.20%182M
5.20%182M
0.58%173M
Paid-in capital
0.00%5.01B
0.06%5.01B
0.06%5.01B
-0.02%5.01B
-0.08%5.01B
-0.08%5.01B
89.41%5.01B
89.99%5.01B
89.99%5.01B
0.38%2.65B
Retained earnings
-5.96%10.65B
11.97%11.93B
11.97%11.93B
13.28%11.33B
-11.70%10.65B
-11.70%10.65B
-1.80%10B
-16.36%12.06B
-16.36%12.06B
-24.14%10.18B
Total stockholders'equity
-5.76%16.17B
6.53%17.82B
6.53%17.82B
6.52%17.16B
-11.64%16.73B
-11.64%16.73B
2.52%16.11B
-9.30%18.94B
-9.30%18.94B
-17.78%15.71B
Noncontrolling interests
600.66%1.07B
-4.19%160M
-4.19%160M
-6.75%152M
-4.57%167M
-4.57%167M
-68.04%163M
-85.90%175M
-85.90%175M
158.88%510M
Total equity
-0.43%17.24B
6.42%17.98B
6.42%17.98B
6.39%17.31B
-11.58%16.9B
-11.58%16.9B
0.30%16.27B
-13.60%19.11B
-13.60%19.11B
-15.97%16.22B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
-Financial assets -39.74%276M226.01%1.86B226.01%1.86B151.65%458M18.30%569M18.30%569M-62.47%182M-81.49%481M-81.49%481M-80.28%485M
Long-term equity investment -14.29%1.78B-14.12%1.94B-14.12%1.94B3.38%2.08B-16.27%2.26B-16.27%2.26B-2.24%2.01B37.51%2.7B37.51%2.7B36.43%2.06B
Cash, cash equivalents and short term investments 0.98%5.98B-12.11%1.59B-12.11%1.59B-7.72%5.92B-74.77%1.81B-74.77%1.81B1.91%6.42B-10.58%7.17B-10.58%7.17B-24.92%6.3B
-Cash and cash equivalents 0.98%5.98B-12.11%1.59B-12.11%1.59B-7.72%5.92B-74.77%1.81B-74.77%1.81B1.91%6.42B-10.58%7.17B-10.58%7.17B-24.92%6.3B
Restricted cash and cash equivalents -----14.68%3.16B-14.68%3.16B------3.71B--3.71B----------------
Net loan -5.40%543M-2.03%578M-2.03%578M-76.37%574M-23.48%590M-23.48%590M-0.45%2.43B-94.71%771M-94.71%771M-83.64%2.44B
-Other receivables 65.69%3.4B10.92%2.16B10.92%2.16B-37.11%2.05B-1.06%1.95B-1.06%1.95B-2.01%3.26B-57.11%1.97B-57.11%1.97B-29.57%3.33B
-Taxes receivable 0.00%25M88.89%34M88.89%34M13.64%25M-10.00%18M-10.00%18M-4.35%22M-95.50%20M-95.50%20M-94.06%23M
Net PPE -1.52%390M-14.42%374M-14.42%374M-2.22%396M-11.72%437M-11.72%437M-22.86%405M-44.57%495M-44.57%495M-45.54%525M
-Gross PP&E ----1.57%1.23B1.57%1.23B------1.21B--1.21B----------------
-Accum depreciation -----10.61%-855M-10.61%-855M-------773M---773M----------------
Goodwill and other intangible assets 0.26%4.58B2.26%4.88B2.26%4.88B-40.10%4.57B-3.01%4.77B-3.01%4.77B2.28%7.62B-76.90%4.92B-76.90%4.92B-61.88%7.45B
-Goodwill -6.83%819M0.67%896M0.67%896M0.92%879M-1.87%890M-1.87%890M-5.94%871M-5.62%907M-5.62%907M-1.70%926M
-Other intangible assets 1.95%3.76B2.63%3.99B2.63%3.99B-45.39%3.69B-3.26%3.88B-3.26%3.88B3.45%6.75B-80.27%4.02B-80.27%4.02B-64.93%6.53B
Total assets 5.58%174.69B8.62%174.07B8.62%174.07B-0.86%165.46B-14.87%160.25B-14.87%160.25B-68.22%166.89B-63.53%188.23B-63.53%188.23B13.38%525.12B
Liabilities
-Current debt and capital lease obligation 15.94%960M-18.91%699M-18.91%699M-8.71%828M--862M--862M-0.44%907M---------44.04%911M
-Including:Current debt 15.94%960M-18.91%699M-18.91%699M-8.71%828M--862M--862M-0.44%907M---------44.04%911M
Reinsurance payable balance 45.16%1.38B-2.04%1.15B-2.04%1.15B--950M-6.30%1.18B-6.30%1.18B------1.25B--1.25B----
Payables -6.48%231M41.48%4.07B41.48%4.07B-2.37%247M1,453.51%2.87B1,453.51%2.87B26.50%253M-33.93%185M-33.93%185M-53.27%200M
-Total tax payable -6.48%231M32.21%275M32.21%275M-2.37%247M12.43%208M12.43%208M26.50%253M-33.93%185M-33.93%185M-53.27%200M
-Other payable ----42.20%3.79B42.20%3.79B------2.67B--2.67B----------------
-Derivative product liabilities -8.78%426M-76.22%238M-76.22%238M-39.43%467M282.06%1B282.06%1B87.14%771M-45.64%262M-45.64%262M-11.78%412M
-Long term debt and capital lease obligation 0.20%3.93B-0.93%4.18B-0.93%4.18B-6.88%3.92B-39.70%4.21B-39.70%4.21B-34.05%4.21B-14.47%6.99B-14.47%6.99B-10.23%6.39B
-Including:Long term debt -0.60%3.65B0.66%3.94B0.66%3.94B-6.42%3.68B-43.98%3.92B-43.98%3.92B-34.47%3.93B-8.94%6.99B-8.94%6.99B-8.84%5.99B
-Including:Long term capital lease obligation 12.10%278M-21.74%234M-21.74%234M-13.29%248M--299M--299M-27.59%286M---------27.12%395M
Long term provisions 6.20%137M8.74%224M8.74%224M-42.67%129M-11.97%206M-11.97%206M-0.88%225M-33.14%234M-33.14%234M-7.35%227M
-Non current accrued expenses 49.10%3.4B22.00%244M22.00%244M-71.90%2.28B-92.38%200M-92.38%200M1.07%8.1B-83.08%2.62B-83.08%2.62B-50.54%8.02B
Other liabilities 5.97%3.5B-28.23%3.43B-28.23%3.43B-38.29%3.3B-18.89%4.78B-18.89%4.78B-13.27%5.35B-62.61%5.89B-62.61%5.89B-59.04%6.17B
Total liabilities 6.28%157.45B8.88%156.08B8.88%156.08B-1.64%148.15B-15.24%143.35B-15.24%143.35B-70.40%150.62B-65.76%169.12B-65.76%169.12B14.65%508.9B
Shareholders'equity
Share capital 0.00%183M0.55%183M0.55%183M0.55%183M0.00%182M0.00%182M5.20%182M5.20%182M5.20%182M0.58%173M
-common stock 0.00%183M0.55%183M0.55%183M0.55%183M0.00%182M0.00%182M5.20%182M5.20%182M5.20%182M0.58%173M
Paid-in capital 0.00%5.01B0.06%5.01B0.06%5.01B-0.02%5.01B-0.08%5.01B-0.08%5.01B89.41%5.01B89.99%5.01B89.99%5.01B0.38%2.65B
Retained earnings -5.96%10.65B11.97%11.93B11.97%11.93B13.28%11.33B-11.70%10.65B-11.70%10.65B-1.80%10B-16.36%12.06B-16.36%12.06B-24.14%10.18B
Total stockholders'equity -5.76%16.17B6.53%17.82B6.53%17.82B6.52%17.16B-11.64%16.73B-11.64%16.73B2.52%16.11B-9.30%18.94B-9.30%18.94B-17.78%15.71B
Noncontrolling interests 600.66%1.07B-4.19%160M-4.19%160M-6.75%152M-4.57%167M-4.57%167M-68.04%163M-85.90%175M-85.90%175M158.88%510M
Total equity -0.43%17.24B6.42%17.98B6.42%17.98B6.39%17.31B-11.58%16.9B-11.58%16.9B0.30%16.27B-13.60%19.11B-13.60%19.11B-15.97%16.22B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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