American Equity Investment Life Holding Co
NYSE:AEL

American Equity Investment Life Holding Co (NYSE:AEL)

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Income Statement

Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Revenue
Gross Premiums Earned
310
301
297
291
286
282
272
264
257
254
250
251
251
246
242
235
230
230
227
217
205
191
180
172
167
159
155
152
152
150
147
149
133
124
114
102
97
93
91
88
Revenue
3 610
-7%
3 866
+4%
3 711
+53%
2 427
-3%
2 513
+7%
2 357
+10%
2 144
-38%
3 466
+82%
1 900
-22%
2 450
+1%
2 429
+57%
1 547
-52%
3 237
+9%
2 968
-4%
3 102
-21%
3 911
+19%
3 294
+10%
3 000
+10%
2 730
+23%
2 220
+4%
2 139
+31%
1 636
+7%
1 528
+1%
1 519
-3%
1 571
-18%
1 905
-11%
2 141
-2%
2 182
-11%
2 456
-5%
2 576
+10%
2 347
-11%
2 643
+28%
2 067
+4%
1 990
+15%
1 734
+9%
1 589
-8%
1 719
+45%
1 185
-8%
1 287
+13%
1 140
-
Operating Income
Operating Expenses
(3 057)
(3 855)
(3 092)
(2 864)
(3 096)
(1 794)
(2 038)
(1 654)
(1 255)
(1 477)
(1 795)
(2 330)
(2 884)
(2 870)
(2 818)
(2 611)
(2 356)
(2 264)
(1 905)
(1 505)
(1 291)
(1 187)
(1 478)
(1 605)
(1 721)
(1 878)
(1 876)
(1 892)
(2 016)
(1 919)
(2 058)
(2 037)
(1 844)
(1 719)
(1 292)
(1 174)
(1 067)
(933)
(1 015)
(1 067)
Benefits Claims Loss Adjustment
(2 497)
(2 250)
(1 676)
(1 593)
(1 665)
(1 584)
(1 587)
(1 323)
(1 175)
(1 091)
(1 270)
(1 650)
(2 029)
(2 117)
(2 162)
(2 067)
(1 678)
(1 460)
(1 102)
(778)
(704)
(634)
(828)
(1 014)
(1 206)
(1 420)
(1 480)
(1 516)
(1 549)
(1 447)
(1 415)
(1 326)
(1 214)
(1 125)
(923)
(826)
(690)
(667)
(763)
(784)
Policy Acquisition Expense
(211)
(836)
(733)
(650)
(757)
(14)
(163)
(88)
55
(147)
(232)
(328)
(430)
(372)
(307)
(256)
(338)
(413)
(414)
(374)
(298)
(268)
(322)
(286)
(237)
(208)
(171)
(164)
(214)
(224)
(326)
(365)
(325)
(301)
(177)
(165)
(183)
(129)
(123)
(144)
Other Operating Expenses
(349)
(769)
(683)
(622)
(674)
(197)
(288)
(243)
(134)
(239)
(292)
(352)
(425)
(381)
(349)
(288)
(340)
(391)
(389)
(353)
(289)
(285)
(328)
(306)
(279)
(250)
(225)
(213)
(253)
(247)
(317)
(345)
(305)
(293)
(193)
(183)
(194)
(137)
(130)
(139)
Operating Income
553
+4 924%
11
-98%
619
-
(438)
+25%
(584)
-
563
+433%
106
-94%
1 813
+181%
645
-34%
973
+53%
634
-
(783)
-
354
+261%
98
-66%
284
-78%
1 299
+39%
938
+28%
735
-11%
825
+15%
715
-16%
849
+89%
450
+801%
50
-
(86)
+42%
(150)
-
27
-90%
265
-9%
290
-34%
440
-33%
658
+128%
289
-52%
607
+172%
223
-17%
271
-39%
442
+7%
415
-36%
652
+160%
251
-7%
271
+270%
73
-
Pre-Tax Income
Interest Income Expense
(55)
1 141
288
1 256
1 674
(273)
524
(1 495)
(544)
(715)
(286)
1 349
254
407
128
(964)
(523)
(437)
(544)
(585)
(853)
(294)
209
424
487
266
(37)
(81)
(173)
(409)
83
(185)
142
(5)
(333)
(329)
(542)
(150)
(170)
60
Non-Reccuring Items
0
0
0
(2)
(4)
(4)
(4)
(2)
0
0
0
0
0
(18)
0
(19)
(19)
(0)
0
0
0
0
0
0
(2)
(2)
(9)
(13)
(42)
(43)
(37)
(33)
(2)
(1)
0
0
0
0
0
0
Pre-Tax Income
498
-57%
1 152
+27%
907
+11%
816
-25%
1 087
+280%
286
-54%
625
+98%
316
+213%
101
-61%
258
-26%
349
-38%
566
-7%
607
+25%
486
+18%
412
+30%
316
-20%
396
+33%
298
+6%
281
+116%
130
-
(4)
-
155
-40%
259
-23%
337
+1%
335
+15%
291
+32%
220
+12%
196
-13%
225
+9%
206
-39%
335
-14%
389
+7%
364
+37%
266
+143%
109
+27%
86
-22%
110
+8%
102
+1%
101
-24%
133
-
Net Income
Tax Provision
(109)
(249)
(196)
(145)
(204)
(33)
(106)
(69)
(21)
(46)
(62)
(108)
(130)
(122)
(115)
(106)
(137)
(104)
(99)
(47)
1
(54)
(90)
(118)
(118)
(103)
(78)
(70)
(79)
(72)
(118)
(136)
(125)
(91)
(36)
(28)
(39)
(36)
(35)
(47)
Income from Continuing Operations
390
904
711
671
883
253
519
246
80
212
287
458
477
365
298
211
259
194
182
83
(4)
101
169
220
217
188
142
126
146
134
218
253
239
175
73
58
71
66
65
86
Net Income (Common)
390
-57%
904
+27%
711
+6%
671
-24%
883
+249%
253
-51%
519
+111%
246
+209%
80
-62%
212
-26%
287
-37%
458
+4%
441
+34%
329
+26%
262
+50%
175
-32%
259
+33%
194
+7%
182
+118%
83
-
(4)
-
101
-40%
169
-23%
220
+1%
217
+16%
188
+33%
142
+12%
126
-14%
146
+9%
134
-38%
218
-14%
253
+6%
239
+37%
175
+138%
73
+27%
58
-19%
71
+8%
66
+1%
65
-24%
86
-

Balance Sheet

78.3B
Assets
1 Year
14%
3 Years
7%
5 Years
7%
71.9B
Liabilities
1 Year
15%
3 Years
6%
5 Years
6%
6.4B
Equity
1 Year
4%
3 Years
37%
5 Years
18%
Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Assets
Cash & Cash Equivalents
12 685
11 524
11 087
9 096
2 657
2 409
1 833
2 293
1 139
1 216
1 116
344
1 129
1 260
724
1 434
1 286
1 575
1 173
791
813
1 547
707
398
524
734
294
702
789
1 465
679
898
935
747
882
1 269
2 397
1 408
2 527
405
Cash Equivalents
12 685
11 524
11 087
9 096
2 657
2 409
1 833
2 293
1 139
1 216
1 116
344
1 129
1 260
724
1 434
1 286
1 575
1 173
791
813
1 547
707
398
524
734
294
702
789
1 465
679
898
935
747
882
1 269
2 397
1 408
2 527
405
Total Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 807
2
0
0
0
12
0
8
Deferred Policy Acquisition Cost
2 194
2 311
2 471
2 225
2 163
2 921
3 615
2 923
2 884
2 806
3 128
3 536
3 319
3 211
3 039
2 715
2 757
2 722
2 840
2 905
2 371
2 417
2 667
2 905
2 591
2 522
2 022
2 059
2 133
2 040
2 211
2 427
2 292
2 147
1 803
1 710
1 640
1 678
1 820
1 684
Long-Term Investments
51 307
52 180
50 889
52 294
56 123
55 176
51 871
55 522
55 761
53 897
51 449
49 222
49 328
48 180
48 810
48 732
47 618
46 839
44 999
43 927
45 105
42 692
41 256
39 233
38 212
36 727
37 007
35 251
33 866
32 167
31 198
29 491
26 349
28 424
28 526
27 122
25 469
24 951
23 476
24 110
Other Long-Term Assets
0
0
0
0
0
0
90
0
0
9
152
291
251
222
160
38
36
64
127
169
0
0
101
233
130
172
0
0
76
74
190
302
226
154
0
0
0
0
61
22
Other Assets
12 132
7 867
8 230
8 073
7 722
8 103
8 140
8 958
8 547
8 443
8 638
8 232
9 422
8 756
8 569
9 112
8 683
8 436
8 411
8 261
7 559
7 065
6 531
6 261
5 672
6 093
6 066
5 979
6 090
6 259
6 267
6 505
6 105
5 815
5 641
5 033
5 091
5 086
5 155
4 645
Total Assets
78 318
+6%
73 882
+2%
72 678
+1%
71 689
+4%
68 665
+0%
68 608
+5%
65 550
-6%
69 697
+2%
68 330
+3%
66 371
+3%
64 482
+5%
61 626
-3%
63 449
+3%
61 628
+1%
61 301
-1%
62 031
+3%
60 380
+1%
59 636
+4%
57 549
+3%
56 053
+0%
55 848
+4%
53 721
+5%
51 263
+5%
49 029
+4%
47 128
+2%
46 247
+2%
45 389
+3%
43 990
+2%
42 954
+2%
42 004
+4%
40 544
+2%
39 621
+2%
38 713
+4%
37 289
+1%
36 853
+5%
35 133
+2%
34 598
+4%
33 134
+0%
33 039
+7%
30 875
-
Liabilities
Insurance Policy Liabilities
65 040
64 790
63 754
62 594
60 352
61 913
61 053
62 150
61 657
60 467
59 506
57 986
58 380
57 136
56 489
56 426
55 243
54 253
52 995
51 935
51 118
49 737
47 770
45 820
43 918
42 837
41 406
40 169
39 249
38 268
37 134
36 208
35 232
34 236
33 385
32 230
31 437
30 331
29 674
28 519
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Current Liabilities
39
0
20
0
0
0
0
0
0
0
0
0
0
0
72
34
0
0
20
0
0
0
0
0
0
0
13
0
4
0
18
10
30
0
10
5
1
30
9
0
Long-Term Debt
574
574
574
574
574
573
573
652
738
738
738
738
737
737
737
737
736
1 131
736
736
735
635
635
635
646
669
668
668
721
721
768
796
937
549
559
556
553
560
569
566
Deferred Income Tax
426
484
377
504
512
230
0
178
143
0
0
0
0
0
0
0
0
0
0
0
111
99
0
0
0
0
74
4
0
0
0
0
0
0
33
49
74
0
0
0
Other Liabilities
5 863
1 739
2 024
1 668
1 109
830
400
2 146
1 665
1 669
1 299
503
1 842
1 327
1 456
1 984
1 638
1 601
1 362
1 091
1 072
636
623
630
414
834
900
1 009
1 004
1 101
969
1 223
1 119
1 061
1 136
574
818
636
1 412
381
Total Liabilities
71 943
+6%
67 587
+1%
66 749
+2%
65 340
+4%
62 546
-2%
63 546
+2%
62 027
-5%
65 126
+1%
64 203
+2%
62 874
+2%
61 543
+4%
59 226
-3%
60 960
+3%
59 201
+1%
58 754
-1%
59 181
+3%
57 617
+1%
56 984
+3%
55 112
+3%
53 762
+1%
53 035
+4%
51 108
+4%
49 029
+4%
47 085
+5%
44 979
+1%
44 340
+3%
43 062
+3%
41 850
+2%
40 978
+2%
40 090
+3%
38 890
+2%
38 237
+2%
37 318
+4%
35 846
+2%
35 123
+5%
33 413
+2%
32 883
+4%
31 556
0%
31 665
+7%
29 466
-
Equity
Common Stock
93
93
95
96
92
92
91
91
91
91
91
90
90
90
90
89
89
89
89
88
88
82
82
81
81
77
77
76
74
74
72
71
65
64
63
62
62
60
59
58
Retained Earnings
2 717
2 575
2 640
2 369
2 404
1 742
1 996
1 769
1 576
1 539
1 520
1 550
1 521
1 352
1 258
1 245
1 231
1 174
1 147
1 093
994
1 001
986
1 031
1 015
918
835
829
813
745
708
718
680
624
504
478
450
458
439
429
Additional Paid In Capital
1 609
1 605
1 688
1 681
1 511
1 508
1 215
1 212
820
818
815
811
807
804
799
791
783
778
776
770
768
637
636
630
627
524
521
513
542
538
542
550
488
513
504
497
494
483
470
468
Other Equity
1 957
2 024
1 505
2 204
2 112
1 720
220
1 498
1 639
1 050
514
52
70
180
400
725
659
610
425
340
964
893
530
202
427
389
894
721
546
556
332
46
162
242
659
684
709
577
405
454
Total Equity
6 375
+1%
6 296
+6%
5 929
-7%
6 349
+4%
6 119
+21%
5 062
+44%
3 523
-23%
4 570
+11%
4 127
+18%
3 497
+19%
2 940
+23%
2 399
-4%
2 489
+3%
2 427
-5%
2 547
-11%
2 850
+3%
2 763
+4%
2 651
+9%
2 436
+6%
2 292
-19%
2 813
+8%
2 613
+17%
2 234
+15%
1 945
-10%
2 150
+13%
1 908
-18%
2 327
+9%
2 140
+8%
1 975
+3%
1 914
+16%
1 655
+19%
1 385
-1%
1 395
-3%
1 442
-17%
1 730
+1%
1 720
+0%
1 715
+9%
1 578
+15%
1 374
-2%
1 409
-
Total Liabilities & Equity
78 318
+6%
73 882
+2%
72 678
+1%
71 689
+4%
68 665
+0%
68 608
+5%
65 550
-6%
69 697
+2%
68 330
+3%
66 371
+3%
64 482
+5%
61 626
-3%
63 449
+3%
61 628
+1%
61 301
-1%
62 031
+3%
60 380
+1%
59 636
+4%
57 549
+3%
56 053
+0%
55 848
+4%
53 721
+5%
51 263
+5%
49 029
+4%
47 128
+2%
46 247
+2%
45 389
+3%
43 990
+2%
42 954
+2%
42 004
+4%
40 544
+2%
39 621
+2%
38 713
+4%
37 289
+1%
36 853
+5%
35 133
+2%
34 598
+4%
33 134
+0%
33 039
+7%
30 875
-
Shares Outstanding
Common Shares Outstanding
92.5M
92.6M
95M
96M
92M
92M
91M
91M
91M
91M
91M
90M
90M
90M
90M
89M
89M
89M
89M
88M
88M
82M
82M
81M
81M
77M
77M
76M
74M
74M
72M
71M
65M
64M
63M
62M
62M
60M
59M
58M
Preferred Shares Outstanding
28k
28k
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

Cash Flow Statement

1.6B
Operating Cash Flow
1 Year
12%
3 Years
8%
5 Years
3%
5.9B
Investing Cash Flow
1 Year
1 133%
3 Years
N/A
5 Years
N/A
2.5B
Financing Cash Flow
1 Year
N/A
3 Years
27%
5 Years
-10%
Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Operating Cash Flow
Net Income
390
904
711
672
883
253
519
246
80
212
287
458
441
329
262
175
259
194
182
83
(4)
101
169
220
217
188
142
126
146
134
218
253
239
175
73
58
71
66
65
86
Depreciation & Amortization
217
841
738
655
762
18
168
92
(51)
151
236
332
434
376
311
260
341
417
418
378
302
271
326
291
242
215
179
173
226
239
343
384
344
320
195
183
202
147
142
163
Change in Deffered Taxes
(42)
176
128
141
243
61
140
57
(23)
(19)
(23)
(13)
(13)
(11)
(44)
(47)
18
(11)
31
(10)
(49)
(2)
19
42
17
(1)
(32)
(47)
(47)
(79)
(32)
3
(1)
1
(42)
(52)
(44)
(31)
(52)
(81)
Other Non-Cash Items
1 127
(143)
241
480
168
1 776
1 339
1 726
2 047
1 630
1 379
1 028
862
1 008
1 159
1 283
1 082
1 073
1 044
1 191
1 356
1 186
990
910
942
960
1 023
1 013
914
904
658
530
549
612
843
839
753
801
777
686
Cash Taxes Paid
80
81
5
5
5
0
28
28
61
82
181
181
181
199
143
143
119
81
39
39
55
69
92
92
108
118
111
133
147
149
140
128
99
83
78
68
62
69
128
129
Cash Interest Paid
29
30
30
31
34
37
40
43
42
42
42
40
40
53
40
55
43
43
42
40
39
39
39
39
40
40
42
43
46
35
37
26
26
26
27
28
30
30
31
31
Change in Working Capital
(104)
479
1 123
(643)
(637)
(956)
(1 090)
1 231
(308)
84
(281)
(1 762)
(481)
(753)
(705)
253
39
152
98
(225)
(227)
(895)
(717)
(958)
(1 127)
(785)
(792)
(558)
(493)
(431)
(646)
(308)
(571)
(332)
(373)
(244)
24
(390)
(436)
(576)
Cash from Operating Activities
1 587
-30%
2 257
-23%
2 942
+125%
1 305
-8%
1 418
+23%
1 152
+7%
1 075
-68%
3 351
+92%
1 745
-15%
2 058
+29%
1 598
+3 600%
43
-97%
1 244
+31%
949
-3%
983
-49%
1 924
+11%
1 738
-5%
1 825
+3%
1 773
+25%
1 416
+3%
1 378
+108%
662
-16%
787
+56%
505
+73%
292
-50%
578
+11%
519
-27%
708
-5%
746
-3%
767
+42%
541
-37%
863
+54%
559
-28%
775
+11%
696
-11%
784
-22%
1 007
+70%
593
+20%
496
+78%
278
-
Investing Cash Flow
Capital Expenditures
(16)
(11)
(7)
(13)
(13)
(14)
(13)
(4)
(4)
(3)
(4)
(4)
(4)
(5)
(5)
(5)
(4)
(3)
(2)
(1)
(1)
(1)
(1)
(1)
(2)
(1)
(2)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(2)
(3)
(5)
Other Items
5 923
4 819
4 406
5 148
493
(312)
(1 260)
(3 051)
(3 361)
(3 659)
(2 668)
(2 404)
(2 629)
(1 931)
(2 730)
(2 589)
(2 917)
(4 449)
(4 063)
(4 500)
(5 438)
(4 725)
(5 472)
(5 576)
(4 375)
(4 484)
(3 380)
(2 946)
(2 758)
(2 218)
(3 235)
(3 878)
(5 026)
(3 999)
(4 553)
(2 129)
(1 613)
(2 759)
(1 468)
(3 601)
Cash from Investing Activities
5 907
+23%
4 807
+9%
4 399
-14%
5 135
+971%
479
-
(326)
+74%
(1 274)
+58%
(3 055)
+9%
(3 365)
+8%
(3 662)
-37%
(2 672)
-11%
(2 408)
+9%
(2 633)
-36%
(1 936)
+29%
(2 735)
-5%
(2 593)
+11%
(2 921)
+34%
(4 452)
-10%
(4 065)
+10%
(4 501)
+17%
(5 439)
-15%
(4 726)
+14%
(5 473)
+2%
(5 577)
-27%
(4 377)
+2%
(4 485)
-33%
(3 381)
-15%
(2 948)
-7%
(2 759)
-24%
(2 219)
+31%
(3 236)
+17%
(3 879)
+23%
(5 027)
-26%
(4 000)
+12%
(4 554)
-114%
(2 130)
-32%
(1 614)
+42%
(2 761)
-88%
(1 471)
+59%
(3 606)
-
Financing Cash Flow
Net Issuance of Common Stock
77
78
464
463
682
683
392
391
2
2
5
10
14
17
15
14
9
141
140
140
140
111
112
113
115
11
12
14
16
28
31
32
28
17
12
6
4
1
2
4
Net Issuance of Debt
0
0
(186)
(82)
(219)
(170)
(227)
(198)
(68)
0
106
109
93
(475)
124
(14)
10
561
100
100
100
0
(63)
(48)
(229)
(99)
(149)
(219)
(378)
(86)
126
181
519
146
0
(1)
(47)
(46)
0
(46)
Cash Paid for Dividends
(77)
(72)
(67)
(62)
(46)
(40)
(34)
(27)
0
0
0
(25)
0
0
0
(23)
0
0
0
(21)
0
0
0
(18)
0
0
0
(15)
0
0
0
(13)
0
0
0
(9)
0
0
0
(7)
Other
2 534
2 045
1 702
43
(798)
(107)
785
1 487
1 721
1 584
1 380
1 182
1 149
1 153
1 188
1 335
1 658
1 974
2 539
3 260
4 128
4 833
5 069
4 722
3 949
3 280
2 629
2 264
2 241
2 241
2 347
2 446
2 468
2 410
2 211
2 213
2 481
2 678
2 807
3 184
Cash from Financing Activities
2 534
+24%
2 051
+7%
1 913
+428%
363
-
(380)
-
366
-60%
916
-45%
1 653
+1%
1 630
+4%
1 560
+6%
1 466
+15%
1 276
+3%
1 232
+83%
672
-48%
1 303
-1%
1 312
-21%
1 656
-38%
2 655
-4%
2 758
-21%
3 478
-20%
4 350
-11%
4 878
-4%
5 100
+7%
4 769
+25%
3 820
+20%
3 176
+28%
2 476
+21%
2 044
+9%
1 867
-14%
2 170
-13%
2 491
-6%
2 646
-12%
3 006
+17%
2 564
+16%
2 212
+0%
2 209
-9%
2 431
-7%
2 626
-5%
2 755
-12%
3 135
-
Change in Cash
Net Change in Cash
10 028
+10%
9 116
-1%
9 254
+36%
6 802
+348%
1 518
+27%
1 193
+66%
717
-63%
1 949
+20 202%
10
-
(44)
-
392
-
(1 090)
-596%
(157)
+50%
(315)
+30%
(449)
-
643
+36%
473
+1 601%
28
-94%
466
+18%
394
+36%
289
-64%
813
+97%
413
-
(304)
-15%
(265)
+64%
(731)
-90%
(385)
-97%
(196)
-34%
(146)
-
718
-
(203)
+45%
(371)
+75%
(1 463)
-121%
(661)
+60%
(1 645)
-
864
-53%
1 825
+298%
458
-74%
1 780
-
(193)
-