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Zurich Insurance Group AG
OTC:ZFSVF

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Zurich Insurance Group AG Logo
Zurich Insurance Group AG
OTC:ZFSVF
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Price: 516.2 USD 0.02% Market Closed
Updated: May 20, 2024

Balance Sheet

Balance Sheet Decomposition
Zurich Insurance Group AG

Cash & Short-Term Investments 7.3B
PP&E 2.1B
Long-Term Investments 141.5B
Other Assets 210.5B
Insurance Policy Liabilities 278.5B
Long Term Debt 13.7B
Other Liabilities 44.2B

Balance Sheet
Zurich Insurance Group AG

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Balance Sheet
Currency: USD
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
7 600
8 159
7 197
8 228
8 649
7 880
11 106
8 698
7 560
7 280
Cash Equivalents
7 600
8 159
7 197
8 228
8 649
7 880
11 106
8 698
7 560
7 280
Total Receivables
0
0
0
0
0
0
0
0
2 220
1 998
Insurance Receivable
10 380
9 791
10 257
10 970
10 758
10 793
11 286
12 001
0
0
Deferred Policy Acquisition Cost
17 750
17 677
17 796
18 663
19 541
19 207
20 021
20 446
0
0
Total Current Assets
0
0
0
0
0
0
0
0
2 220
1 998
PP&E Net
1 273
1 140
953
961
1 037
2 635
2 705
2 436
2 225
2 092
PP&E Gross
1 273
1 140
953
961
1 037
2 635
2 705
2 436
2 225
2 092
Accumulated Depreciation
1 369
1 304
1 061
1 055
1 023
1 968
2 081
2 120
2 213
2 373
Intangible Assets
6 754
5 791
5 820
5 787
5 567
5 358
5 255
7 134
6 485
6 987
Goodwill
1 661
1 289
1 795
2 353
2 634
3 610
4 089
4 344
4 420
4 541
Note Receivable
22 212
2 988
3 255
3 664
634
859
3 410
3 027
1 730
1 890
Long-Term Investments
178 890
183 272
183 581
194 236
182 693
193 368
210 398
190 959
141 437
143 262
Other Long-Term Assets
1 609
1 465
1 978
30 648
25 481
3 554
4 482
13 427
23 293
25 842
Other Assets
160 061
151 689
151 511
148 908
140 982
161 034
170 636
177 698
150 462
172 031
Total Assets
406 529
N/A
381 972
-6%
382 348
+0%
422 065
+10%
395 342
-6%
404 688
+2%
439 299
+9%
435 826
-1%
335 412
-23%
361 382
+8%
Liabilities
Insurance Policy Liabilities
78 366
314 415
314 118
322 264
303 492
328 772
355 582
344 702
256 756
279 520
Accrued Liabilities
8 604
8 148
4 872
5 429
5 177
5 173
5 372
5 124
0
0
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
0
0
0
0
205
235
225
192
203
Other Current Liabilities
3 494
2 678
2 420
2 678
1 588
2 105
2 680
1 767
1 610
1 977
Total Current Liabilities
12 098
10 826
7 292
8 107
6 765
7 483
8 287
7 116
1 802
2 180
Long-Term Debt
12 252
10 085
11 212
10 784
12 012
13 712
15 623
16 762
15 479
15 214
Deferred Income Tax
5 020
4 498
4 562
4 357
3 915
4 533
5 136
5 151
2 047
2 300
Minority Interest
2 095
1 725
1 813
1 831
1 613
1 545
1 568
1 289
1 247
1 419
Other Liabilities
9 335
9 244
12 691
41 660
37 356
13 639
14 825
22 925
32 398
35 888
Total Liabilities
371 794
N/A
350 793
-6%
351 688
+0%
389 003
+11%
365 153
-6%
369 684
+1%
401 021
+8%
397 945
-1%
309 729
-22%
336 521
+9%
Equity
Common Stock
11
11
11
11
11
11
11
11
11
10
Retained Earnings
31 548
34 192
35 812
36 936
37 452
38 649
39 016
41 707
35 313
32 842
Additional Paid In Capital
4 843
3 245
1 348
1 162
1 180
1 235
1 438
1 449
1 158
1 333
Unrealized Security Profit/Loss
4 286
2 784
3 044
3 306
860
4 208
5 985
3 935
5 636
3 000
Other Equity
5 953
9 053
9 555
8 353
9 314
9 099
8 172
9 221
5 163
6 324
Total Equity
34 735
N/A
31 179
-10%
30 660
-2%
33 062
+8%
30 189
-9%
35 004
+16%
38 278
+9%
37 881
-1%
25 683
-32%
24 861
-3%
Total Liabilities & Equity
406 529
N/A
381 972
-6%
382 348
+0%
422 065
+10%
395 342
-6%
404 688
+2%
439 299
+9%
435 826
-1%
335 412
-23%
361 382
+8%
Shares Outstanding
Common Shares Outstanding
148
149
149
150
147
148
148
148
148
148

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