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American Financial Group Inc (NYSE:AFG)

128.09 USD +2.27 USD ( +1.8% )
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American Financial Group Inc
NYSE:AFG
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Income Statement

Currency: USD
Jun-2022 Mar-2022 Dec-2021 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
Revenue
Gross Premiums Earned
5 808
5 653
5 517
5 398
5 268
5 233
5 270
5 317
5 391
5 412
5 408
5 314
5 201
5 155
5 089
5 042
4 976
4 884
4 808
4 728
4 618
4 613
4 575
4 583
4 616
4 610
4 579
4 503
4 446
4 323
4 108
3 886
3 701
3 479
3 415
3 309
3 260
3 267
3 254
3 218
Revenue
6 636
+0%
6 624
+1%
6 546
-11%
7 351
-4%
7 685
-5%
8 108
+6%
7 669
+6%
7 243
-1%
7 287
0%
7 299
-12%
8 256
+5%
7 826
+2%
7 704
+2%
7 575
+6%
7 169
-2%
7 291
+2%
7 154
+3%
6 977
+1%
6 939
+1%
6 857
+2%
6 705
+1%
6 667
+1%
6 611
+1%
6 551
+0%
6 547
+1%
6 505
+1%
6 439
+2%
6 325
+2%
6 200
+3%
6 017
+4%
5 769
+4%
5 563
+3%
5 414
+5%
5 160
+1%
5 096
+3%
4 932
+1%
4 871
+0%
4 857
+1%
4 796
+1%
4 770
N/A
Operating Income
Operating Expenses
(5 264)
(5 177)
(5 123)
(5 548)
(5 987)
(6 477)
(6 550)
(6 688)
(6 715)
(6 689)
(7 061)
(6 921)
(6 741)
(6 614)
(6 449)
(6 257)
(6 293)
(6 154)
(6 056)
(5 934)
(5 657)
(5 665)
(5 634)
(5 634)
(5 696)
(5 570)
(5 513)
(5 453)
(5 301)
(5 246)
(5 034)
(4 794)
(4 659)
(4 409)
(4 332)
(4 453)
(4 404)
(4 378)
(4 345)
(4 051)
Benefits Claims Loss Adjustment
(4 866)
(4 764)
(4 704)
(5 029)
(5 230)
(5 732)
(5 812)
(5 928)
(6 009)
(5 899)
(6 183)
(6 077)
(5 952)
(5 820)
(5 624)
(5 430)
(5 475)
(5 342)
(5 280)
(5 164)
(4 909)
(4 945)
(4 944)
(4 987)
(5 069)
(4 925)
(4 878)
(4 812)
(4 692)
(4 676)
(4 478)
(4 255)
(4 098)
(3 839)
(3 750)
(3 777)
(3 724)
(3 700)
(3 657)
(3 508)
Policy Acquisition Expense
0
0
0
0
0
0
(193)
(209)
(157)
0
(253)
(239)
(190)
(207)
(261)
(220)
(204)
(202)
(173)
(211)
(210)
(204)
(186)
(162)
(157)
(184)
(187)
(227)
(224)
(196)
(193)
(161)
(155)
(166)
(167)
(272)
(278)
(273)
(282)
(180)
Other Operating Expenses
(398)
(413)
(419)
(519)
(757)
(745)
(545)
(551)
(549)
(790)
(625)
(605)
(599)
(587)
(564)
(607)
(614)
(610)
(603)
(559)
(538)
(516)
(504)
(485)
(470)
(461)
(448)
(414)
(385)
(374)
(363)
(378)
(406)
(404)
(415)
(404)
(402)
(405)
(406)
(363)
Operating Income
1 372
-5%
1 447
+2%
1 423
-21%
1 803
+6%
1 698
+4%
1 631
+46%
1 119
+102%
555
-3%
572
-6%
610
-49%
1 195
+32%
905
-6%
963
+0%
961
+33%
720
-30%
1 034
+20%
861
+5%
823
-7%
883
-4%
923
-12%
1 048
+5%
1 002
+3%
977
+7%
917
+8%
851
-9%
935
+1%
926
+6%
872
-3%
899
+17%
771
+5%
735
-4%
769
+2%
755
+1%
751
-2%
764
+59%
479
+3%
467
-3%
479
+6%
451
-37%
719
N/A
Pre-Tax Income
Interest Income Expense
(93)
(93)
(94)
(95)
(95)
(95)
(88)
(82)
(75)
(69)
(68)
(66)
(64)
(63)
(62)
(66)
(72)
(79)
(85)
(86)
(84)
(80)
(77)
(73)
(72)
(73)
(75)
(78)
(78)
(75)
(73)
(70)
(70)
(71)
(71)
(72)
(73)
(74)
(75)
(68)
Non-Reccuring Items
0
7
6
66
38
35
20
(47)
(28)
(31)
(19)
(29)
(22)
(20)
(19)
(23)
(35)
(45)
(50)
(39)
(41)
(68)
(113)
(164)
(178)
(171)
(286)
(249)
(230)
(201)
(36)
(17)
(6)
(5)
(4)
6
162
161
161
155
Pre-Tax Income
1 279
-6%
1 361
+2%
1 335
-25%
1 774
+8%
1 641
+4%
1 571
+49%
1 051
+147%
426
-9%
469
-8%
510
-54%
1 108
+37%
810
-8%
877
0%
878
+37%
639
-32%
945
+25%
754
+8%
699
-7%
748
-6%
798
-14%
923
+8%
854
+9%
787
+16%
680
+13%
601
-13%
691
+22%
565
+4%
545
-8%
591
+19%
495
-21%
626
-8%
682
+0%
679
+1%
675
-2%
689
+67%
413
-26%
556
-2%
566
+5%
537
-33%
806
N/A
Net Income
Tax Provision
(248)
(257)
(254)
(354)
(276)
(279)
(170)
(48)
(112)
(111)
(239)
(167)
(174)
(176)
(122)
(144)
(121)
(129)
(164)
(75)
(122)
(135)
(119)
(270)
(238)
(242)
(195)
(180)
(201)
(171)
(220)
(236)
(226)
(228)
(236)
(106)
(136)
(139)
(135)
(297)
Income from Continuing Operations
1 031
1 104
1 081
1 420
1 365
1 292
881
378
357
399
869
643
703
702
517
801
633
570
584
723
801
719
668
410
363
449
370
365
390
324
406
446
453
447
453
307
420
427
402
509
Income to Minority Interest
0
0
0
(2)
(2)
8
11
33
37
28
28
14
11
12
13
7
6
4
(2)
(5)
(9)
(18)
(19)
(17)
(16)
(15)
(18)
(15)
13
44
46
37
(3)
7
18
56
86
68
86
37
Net Income (Common)
1 031
-45%
1 866
-6%
1 995
-14%
2 332
+2%
2 277
+57%
1 452
+98%
732
+192%
251
+7%
234
-12%
267
-70%
897
+37%
657
-8%
714
N/A
714
+35%
530
-27%
725
+30%
556
+13%
491
-2%
499
-31%
718
-9%
792
+13%
701
+8%
649
+65%
393
+13%
347
-20%
434
+23%
352
+1%
350
-13%
403
+10%
368
-19%
452
-6%
483
+7%
450
-1%
454
-4%
471
+30%
363
-28%
506
+2%
495
+1%
488
-11%
546
N/A

Balance Sheet

Currency: USD
Mar-2022 Dec-2021 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
Assets
Cash & Cash Equivalents
1 181
2 131
2 833
3 365
1 691
1 665
3 747
2 698
1 673
2 314
2 693
2 374
2 000
1 515
2 009
1 810
1 659
2 338
2 349
2 207
1 890
2 107
1 639
1 548
1 231
1 220
894
1 216
1 212
1 343
1 310
2 116
1 876
1 639
1 331
1 271
1 529
1 705
1 626
1 523
Cash Equivalents
1 181
2 131
2 833
3 365
1 691
1 665
3 747
2 698
1 673
2 314
2 693
2 374
2 000
1 515
2 009
1 810
1 659
2 338
2 349
2 207
1 890
2 107
1 639
1 548
1 231
1 220
894
1 216
1 212
1 343
1 310
2 116
1 876
1 639
1 331
1 271
1 529
1 705
1 626
1 523
Total Receivables
645
857
1 097
682
576
678
1 185
880
981
975
1 187
999
1 011
1 090
1 633
1 048
918
1 030
1 545
923
875
908
1 391
788
693
820
1 241
660
641
910
1 140
527
524
854
1 078
422
384
539
1 168
920
Insurance Receivable
4 869
4 784
5 015
4 753
4 440
4 517
5 203
4 842
4 689
4 750
4 664
4 548
4 541
4 583
4 651
4 339
4 286
4 515
4 435
3 963
3 724
3 734
3 843
3 568
3 497
3 573
4 127
4 034
3 910
4 127
4 035
4 009
3 704
3 896
3 939
3 798
3 732
4 386
4 615
3 442
Deferred Policy Acquisition Cost
271
267
262
258
244
244
497
818
1 573
1 037
964
1 203
1 447
1 682
1 669
1 582
1 417
1 216
1 119
1 156
1 205
1 239
867
881
1 055
1 184
993
965
756
821
858
806
890
975
867
818
565
550
621
846
Other Current Assets
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
488
PP&E Net
111
118
118
124
133
159
154
163
162
158
162
162
167
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
Intangible Assets
104
106
29
30
31
34
34
37
40
43
45
45
42
39
37
34
32
30
28
26
24
25
31
38
41
43
45
45
47
49
55
58
19
14
18
21
25
28
32
35
Long-Term Investments
19 651
18 910
18 684
17 846
17 311
16 800
58 360
57 831
55 262
56 648
55 348
54 484
53 093
51 390
49 958
49 268
48 675
47 802
46 928
46 738
46 110
43 488
43 908
43 004
41 711
40 192
40 567
39 609
38 971
37 495
36 321
35 037
33 108
32 148
30 595
30 964
30 840
29 969
29 513
28 356
Other Long-Term Assets
0
0
0
0
48 139
47 885
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 Assets
1 930
1 758
1 904
1 722
1 632
1 728
3 930
3 598
3 263
4 205
4 004
3 882
3 831
3 157
4 233
3 753
3 669
3 727
3 759
3 605
3 636
3 571
3 166
2 906
2 810
2 805
2 690
2 895
2 770
2 790
2 833
2 802
2 649
2 561
3 119
2 120
2 064
1 994
2 058
1 442
Total Assets
28 762
-1%
28 931
-3%
29 942
+4%
28 780
-61%
74 197
+1%
73 710
+1%
73 110
+3%
70 867
+5%
67 643
-4%
70 130
+2%
69 067
+2%
67 697
+2%
66 132
+4%
63 456
-1%
64 190
+4%
61 834
+2%
60 656
0%
60 658
+1%
60 163
+3%
58 618
+2%
57 464
+4%
55 072
+0%
54 845
+4%
52 733
+3%
51 038
+2%
49 837
-1%
50 557
+2%
49 424
+2%
48 307
+2%
47 535
+2%
46 552
+3%
45 355
+6%
42 770
+2%
42 087
+3%
40 947
+4%
39 414
+1%
39 139
0%
39 171
-1%
39 633
+7%
37 052
N/A
Liabilities
Insurance Policy Liabilities
15 102
15 035
15 552
14 381
13 958
14 002
57 890
56 420
52 161
51 792
51 096
49 753
48 959
48 176
47 488
45 746
44 907
44 907
44 709
42 886
41 756
40 807
40 664
39 236
38 325
37 344
38 605
37 015
36 096
35 914
35 138
33 979
31 867
31 488
30 861
29 727
28 895
29 219
29 275
27 292
Accrued Liabilities
127
136
136
143
153
159
175
184
182
180
184
185
190
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
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
Long-Term Debt
1 917
1 964
1 964
1 963
1 963
1 963
2 108
1 912
1 473
1 473
1 423
1 423
1 423
1 302
1 302
1 301
1 301
1 301
1 284
1 405
1 283
1 283
1 300
998
998
998
880
1 024
1 061
1 061
1 062
912
913
913
913
949
950
953
966
1 158
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
2
0
0
0
4
0
0
4
3
197
193
182
178
182
182
177
175
174
173
177
170
168
165
175
170
185
153
Other Liabilities
6 781
6 784
7 050
6 692
51 438
50 797
6 597
6 225
8 780
10 416
10 043
10 246
9 895
9 006
10 236
9 703
9 265
9 116
8 791
9 015
9 230
8 063
7 523
7 306
6 778
6 725
6 166
6 401
6 050
5 506
5 274
5 306
5 017
4 917
4 463
4 100
4 386
4 251
4 428
3 827
Total Liabilities
23 927
+0%
23 919
-3%
24 702
+7%
23 179
-66%
67 512
+1%
66 921
+0%
66 770
+3%
64 741
+3%
62 596
-2%
63 861
+2%
62 746
+2%
61 607
+2%
60 467
+3%
58 486
-1%
59 026
+4%
56 750
+2%
55 473
+0%
55 328
+1%
54 784
+3%
53 306
+2%
52 273
+4%
50 156
+1%
49 684
+4%
47 733
+3%
46 283
+2%
45 245
-1%
45 833
+3%
44 622
+3%
43 384
+2%
42 656
+2%
41 648
+3%
40 370
+6%
37 974
+1%
37 488
+3%
36 405
+4%
34 941
+2%
34 406
-1%
34 593
-1%
34 854
+7%
32 430
N/A
Equity
Common Stock
85
85
85
85
85
86
87
89
90
90
90
90
90
89
89
89
89
88
88
88
88
87
87
87
87
87
87
88
88
88
88
90
90
90
89
89
90
89
91
95
Retained Earnings
3 541
3 478
3 680
4 023
4 354
4 149
3 737
3 685
3 616
4 009
4 022
3 914
3 875
3 588
3 800
3 628
3 584
3 248
3 435
3 451
3 466
3 343
3 079
3 016
3 002
2 987
2 981
2 968
2 886
2 912
2 948
2 944
2 891
2 826
2 774
2 697
2 684
2 595
2 686
2 642
Additional Paid In Capital
1 340
1 330
1 315
1 303
1 279
1 281
1 283
1 299
1 309
1 307
1 292
1 277
1 256
1 245
1 231
1 220
1 205
1 181
1 167
1 158
1 138
1 111
1 242
1 228
1 218
1 214
1 195
1 183
1 173
1 152
1 150
1 152
1 138
1 123
1 109
1 088
1 090
1 063
1 071
1 112
Unrealized Security Profit/Loss
109
136
178
205
963
0
1 212
1 030
16
862
920
812
464
83
93
191
342
840
706
639
529
404
0
685
466
332
466
587
800
743
726
805
685
563
568
600
865
823
921
771
Other Equity
22
17
18
15
4
1 273
21
23
16
1
3
3
20
35
49
44
37
27
17
24
30
29
753
16
18
28
5
24
24
16
8
6
8
3
2
1
4
8
10
2
Total Equity
4 835
-4%
5 012
-4%
5 240
-6%
5 601
-16%
6 685
-2%
6 789
+7%
6 340
+3%
6 126
+21%
5 047
-19%
6 269
-1%
6 321
+4%
6 090
+8%
5 665
+14%
4 970
-4%
5 164
+2%
5 084
-2%
5 183
-3%
5 330
-1%
5 379
+1%
5 312
+2%
5 191
+6%
4 916
-5%
5 161
+3%
5 000
+5%
4 755
+4%
4 592
-3%
4 724
-2%
4 802
-2%
4 923
+1%
4 879
-1%
4 904
-2%
4 985
+4%
4 796
+4%
4 599
+1%
4 542
+2%
4 473
-5%
4 733
+3%
4 578
-4%
4 779
+3%
4 622
N/A
Total Liabilities & Equity
28 762
-1%
28 931
-3%
29 942
+4%
28 780
-61%
74 197
+1%
73 710
+1%
73 110
+3%
70 867
+5%
67 643
-4%
70 130
+2%
69 067
+2%
67 697
+2%
66 132
+4%
63 456
-1%
64 190
+4%
61 834
+2%
60 656
0%
60 658
+1%
60 163
+3%
58 618
+2%
57 464
+4%
55 072
+0%
54 845
+4%
52 733
+3%
51 038
+2%
49 837
-1%
50 557
+2%
49 424
+2%
48 307
+2%
47 535
+2%
46 552
+3%
45 355
+6%
42 770
+2%
42 087
+3%
40 947
+4%
39 414
+1%
39 139
0%
39 171
-1%
39 633
+7%
37 052
N/A
Shares Outstanding
Common Shares Outstanding
85.1M
84.9M
84.8M
84.7M
85M
86M
87M
89M
90M
90M
90M
90M
90M
89M
89M
89M
89M
88M
88M
88M
88M
87M
87M
87M
87M
87M
87M
88M
88M
88M
88M
90M
90M
90M
89M
89M
90M
89M
91M
95M

Cash Flow Statement

Currency: USD
Mar-2022 Dec-2021 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
Operating Cash Flow
Net Income
1 866
1 995
2 334
2 279
1 444
721
218
197
239
869
643
703
702
517
718
526
463
477
699
801
719
668
410
363
449
370
365
390
324
406
446
453
447
453
307
420
427
402
510
407
Depreciation & Amortization
114
187
211
353
285
299
312
266
338
259
242
176
173
210
165
144
140
107
148
150
144
134
107
103
131
134
167
171
148
144
127
121
134
142
249
252
246
257
167
172
Other Non-Cash Items
216
377
664
867
1 077
1 192
1 156
1 203
1 116
1 151
1 234
1 206
1 127
998
921
914
878
892
795
769
768
800
829
848
776
732
700
649
664
648
628
611
565
531
518
518
545
541
544
546
Cash Taxes Paid
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
277
277
277
277
277
277
277
277
0
0
Cash Interest Paid
92
92
83
83
83
83
65
65
65
65
59
59
59
59
85
85
85
85
75
75
75
75
75
75
75
75
72
72
72
72
71
71
71
71
75
75
75
75
0
0
Change in Working Capital
(606)
(845)
(1 297)
(1 433)
(528)
(29)
775
1 000
841
177
378
52
144
358
284
469
790
328
(245)
(492)
(892)
(452)
(154)
(41)
(65)
117
223
89
279
24
(155)
(122)
(241)
(366)
(356)
(403)
(352)
(383)
(728)
(766)
Cash from Operating Activities
1 590
-7%
1 714
-10%
1 912
-7%
2 066
-9%
2 278
+4%
2 183
-11%
2 461
-8%
2 666
+5%
2 534
+3%
2 456
-2%
2 497
+17%
2 137
0%
2 146
+3%
2 083
0%
2 088
+2%
2 053
-10%
2 271
+26%
1 804
+29%
1 397
+14%
1 228
+66%
739
-36%
1 150
-4%
1 192
-6%
1 273
-1%
1 291
-5%
1 353
-7%
1 455
+12%
1 299
-8%
1 415
+16%
1 222
+17%
1 046
-2%
1 063
+17%
905
+19%
760
+6%
718
-9%
787
-9%
866
+6%
817
+66%
493
+37%
359
N/A
Investing Cash Flow
Capital Expenditures
(72)
(62)
(72)
(66)
(64)
(60)
(52)
(44)
(43)
(44)
(53)
(56)
(67)
(80)
(123)
(123)
(121)
(109)
(58)
(53)
(42)
(49)
(74)
(96)
(101)
(102)
(78)
(59)
(52)
(47)
(43)
(34)
(38)
(52)
(53)
(57)
(55)
(71)
(65)
(81)
Other Items
(537)
(374)
(823)
459
(785)
(1 504)
(2 007)
(3 265)
(3 991)
(3 021)
(3 700)
(3 861)
(4 311)
(5 270)
(4 314)
(3 660)
(3 633)
(3 183)
(2 634)
(3 105)
(2 937)
(2 932)
(3 603)
(4 180)
(4 700)
(4 471)
(4 521)
(4 704)
(4 109)
(3 572)
(3 394)
(2 659)
(2 833)
(2 863)
(2 347)
(1 734)
(1 657)
(1 354)
(1 381)
(2 443)
Cash from Investing Activities
(609)
-40%
(436)
+51%
(895)
N/A
393
N/A
(849)
+46%
(1 564)
+24%
(2 059)
+38%
(3 309)
+18%
(4 034)
-32%
(3 065)
+18%
(3 753)
+4%
(3 917)
+11%
(4 378)
+18%
(5 350)
-21%
(4 437)
-17%
(3 783)
-1%
(3 754)
-14%
(3 292)
-22%
(2 692)
+15%
(3 158)
-6%
(2 979)
+0%
(2 981)
+19%
(3 677)
+14%
(4 276)
+11%
(4 801)
-5%
(4 573)
+1%
(4 599)
+3%
(4 763)
-14%
(4 161)
-15%
(3 619)
-5%
(3 437)
-28%
(2 693)
+6%
(2 871)
+2%
(2 915)
-21%
(2 400)
-34%
(1 791)
-5%
(1 712)
-20%
(1 425)
+1%
(1 446)
+43%
(2 524)
N/A
Financing Cash Flow
Net Issuance of Common Stock
(81)
(253)
(331)
(420)
(412)
(291)
(211)
(108)
(22)
36
30
25
20
27
33
31
36
37
22
7
(20)
(98)
(89)
(99)
(116)
(65)
(118)
(168)
(143)
(144)
(83)
3
(47)
(16)
(106)
(277)
(309)
(369)
(320)
(245)
Net Issuance of Debt
(50)
0
(151)
45
0
484
679
483
44
165
121
121
121
0
(23)
(148)
0
(33)
(28)
399
0
284
437
(10)
0
(47)
(183)
107
0
143
144
(37)
(37)
(40)
(54)
(214)
7
7
18
211
Cash Paid for Dividends
(2 547)
(2 374)
(1 697)
(1 524)
(337)
(334)
(322)
(320)
(448)
(444)
(410)
(405)
(399)
(394)
(430)
(426)
(421)
(417)
(325)
(322)
(188)
(185)
(183)
(180)
(178)
(176)
(173)
(172)
(170)
(167)
(167)
(165)
(162)
(160)
(92)
(91)
(90)
(90)
(67)
(66)
Other
551
670
248
107
(510)
18
506
912
1 599
1 651
2 199
2 603
2 831
2 811
2 429
1 876
1 670
2 132
2 336
2 505
2 823
2 717
3 065
3 624
3 870
3 385
3 202
2 797
2 252
2 269
2 476
2 674
2 559
2 305
1 639
1 334
1 345
1 441
1 957
2 159
Cash from Financing Activities
(2 127)
-9%
(1 957)
-1%
(1 931)
-8%
(1 792)
-131%
(775)
-530%
(123)
N/A
652
-33%
967
-18%
1 173
-17%
1 408
-27%
1 940
-17%
2 344
-9%
2 573
+5%
2 444
+22%
2 009
+51%
1 333
+6%
1 252
-27%
1 719
-14%
2 005
-23%
2 589
-11%
2 899
+7%
2 718
-16%
3 230
-3%
3 335
-5%
3 529
+14%
3 097
+14%
2 728
+6%
2 564
+23%
2 082
-1%
2 101
-11%
2 370
-4%
2 475
+7%
2 313
+11%
2 089
+51%
1 387
+84%
752
-21%
953
-4%
989
-38%
1 588
-23%
2 059
N/A
Change in Cash
Net Change in Cash
(1 146)
-69%
(679)
+26%
(914)
N/A
667
+2%
654
+32%
496
-53%
1 054
+225%
324
N/A
(327)
N/A
799
+17%
684
+21%
564
+65%
341
N/A
(823)
-142%
(340)
+14%
(397)
-72%
(231)
N/A
231
-67%
710
+8%
659
N/A
659
-26%
887
+19%
745
+124%
332
+1 647%
19
N/A
(123)
+70%
(416)
+54%
(900)
-36%
(664)
-124%
(296)
-1 310%
(21)
N/A
845
+144%
347
N/A
(66)
+78%
(295)
-17%
(252)
N/A
107
-72%
381
-40%
635
N/A
(106)
N/A

See Also

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