AXA SA
XMUN:AXA

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AXA SA
XMUN:AXA
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Price: 37.77 EUR -1.46% Market Closed
Market Cap: €83.1B

Balance Sheet

Balance Sheet Decomposition
AXA SA

Balance Sheet
AXA SA

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Balance Sheet
Currency: EUR
Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Cash & Cash Equivalents
17 646
17 592
19 428
22 494
21 402
21 169
18 684
32 227
19 565
22 095
31 072
30 546
21 455
22 048
26 275
26 314
23 898
31 329
21 948
28 237
25 051
26 167
24 972
18 988
Cash Equivalents
17 646
17 592
19 428
22 494
21 402
21 169
18 684
32 227
19 565
22 095
31 072
30 546
21 455
22 048
26 275
26 314
23 898
31 329
21 948
28 237
25 051
26 167
24 972
18 988
Total Receivables
11 433
11 366
12 790
21 071
27 176
32 982
32 918
32 135
10 877
13 917
16 325
15 318
12 926
13 501
14 263
17 417
12 868
14 746
10 329
9 707
8 991
9 770
11 882
9 899
Insurance Receivable
15 571
14 003
11 680
10 301
10 601
12 678
13 053
13 771
13 803
14 476
14 017
15 714
14 806
15 559
17 444
17 418
17 373
27 203
29 161
27 953
28 424
0
0
0
Deferred Policy Acquisition Cost
14 656
14 189
13 807
15 442
17 390
20 926
21 130
23 161
22 406
19 871
21 698
21 732
21 727
23 416
26 392
26 341
24 772
28 502
18 204
17 779
18 744
0
0
0
Other Current Assets
13 106
12 599
9 163
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Current Assets
24 539
23 965
21 953
21 071
27 176
32 982
32 918
32 135
10 877
13 917
16 325
15 318
12 926
13 501
14 263
17 417
12 868
14 746
10 329
9 707
8 991
9 770
11 882
9 899
PP&E Net
0
0
0
1 290
1 247
1 727
1 470
1 496
1 458
1 517
1 410
1 457
1 259
1 322
1 432
1 513
1 380
1 599
2 872
2 649
2 443
2 231
2 095
2 212
Intangible Assets
396
701
556
597
1 074
2 350
3 288
3 156
3 143
3 648
3 382
3 349
3 159
3 149
3 277
3 267
3 170
5 041
4 872
4 432
4 297
4 720
4 630
4 423
Goodwill
15 879
14 407
12 874
12 204
13 559
16 101
16 308
16 998
16 469
16 741
15 855
15 754
14 819
16 053
17 062
16 684
15 391
16 771
17 776
16 583
17 167
17 754
17 855
18 141
Note Receivable
0
0
0
412
806
989
1 314
2 524
1 789
1 851
2 347
1 855
1 885
1 511
866
1 071
1 266
962
949
845
908
930
721
822
Long-Term Investments
260 133
250 933
250 521
293 529
328 081
423 102
416 225
397 997
436 310
458 601
472 476
495 176
481 007
540 946
560 654
589 960
576 071
591 317
542 892
557 868
537 249
441 322
459 235
467 379
Other Long-Term Assets
0
0
0
3 793
3 859
6 531
3 831
5 811
15 268
27 218
3 692
3 241
2 404
2 587
5 071
2 517
5 856
27 299
36 244
33 765
8 933
17 424
3 464
7 904
Other Assets
152 658
123 275
131 287
134 749
164 337
205 157
211 014
161 281
183 632
165 594
160 783
173 474
194 813
216 030
231 396
206 965
203 474
202 697
113 407
121 354
140 451
134 321
136 974
142 135
Total Assets
485 599
N/A
444 658
-8%
449 232
+1%
503 678
+12%
575 973
+14%
727 611
+26%
722 927
-1%
673 559
-7%
708 251
+5%
728 788
+3%
727 202
0%
761 862
+5%
755 441
-1%
840 069
+11%
887 070
+6%
892 783
+1%
870 128
-3%
930 695
+7%
780 878
-16%
804 589
+3%
775 491
-4%
636 885
-18%
644 385
+1%
653 762
+1%
Liabilities
Insurance Policy Liabilities
124 111
98 310
109 381
409 152
465 305
583 405
578 788
541 412
585 945
584 741
602 556
622 146
625 903
683 733
727 365
727 585
706 548
729 888
592 343
613 879
624 220
497 946
518 667
521 063
Accrued Liabilities
2 464
2 564
2 784
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
1 229
679
1 516
1 181
0
0
1 274
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
5 123
2 785
3 287
3 775
2 326
196
18
94
83
0
192
29
Other Current Liabilities
26 541
26 312
27 290
21 023
21 876
27 758
27 367
29 696
29 598
35 384
41 489
34 664
36 343
39 018
34 301
32 799
33 921
36 995
15 817
16 372
15 568
13 469
11 883
11 384
Total Current Liabilities
29 005
28 876
30 074
21 023
21 876
27 758
27 367
29 696
29 598
35 384
41 489
34 664
41 466
41 803
37 588
36 574
36 247
38 420
16 514
17 982
16 832
13 469
12 075
12 687
Long-Term Debt
21 616
18 000
17 460
7 961
7 907
9 346
10 856
14 514
10 210
10 453
10 421
15 172
7 485
7 438
7 738
8 453
9 514
24 990
24 823
20 834
21 245
24 186
24 495
24 568
Deferred Income Tax
4 420
4 592
1 954
6 786
7 338
6 861
5 534
3 609
4 934
3 451
3 794
5 175
4 223
5 741
5 156
6 187
5 784
4 621
5 843
6 470
5 334
911
1 728
1 976
Minority Interest
3 409
2 812
2 469
2 311
2 763
2 940
3 272
3 058
3 693
4 167
2 367
2 355
2 520
2 815
4 166
5 283
5 656
10 824
4 730
4 565
4 094
3 018
2 819
2 535
Other Liabilities
278 257
268 355
264 496
24 873
34 260
50 073
51 467
43 831
27 644
42 843
20 159
28 744
20 920
33 320
36 582
38 104
36 768
59 524
66 728
69 248
32 631
51 284
35 214
40 990
Total Liabilities
460 818
N/A
420 945
-9%
425 834
+1%
472 106
+11%
539 449
+14%
680 383
+26%
677 284
0%
636 120
-6%
662 024
+4%
681 039
+3%
680 786
0%
708 256
+4%
702 517
-1%
774 850
+10%
818 595
+6%
822 186
+0%
800 517
-3%
868 267
+8%
710 981
-18%
732 978
+3%
704 356
-4%
590 814
-16%
594 806
+1%
603 819
+2%
Equity
Common Stock
3 971
4 035
4 072
19 385
18 120
22 670
21 366
22 077
24 339
0
5 398
5 470
5 537
5 593
5 557
5 554
5 554
5 553
5 537
5 538
5 545
23 317
22 130
20 275
Retained Earnings
7 182
5 851
5 345
3 793
4 318
5 085
5 666
923
3 606
47 747
23 230
30 640
31 215
40 837
41 635
44 098
48 083
38 112
45 260
49 261
31 324
30 102
33 143
36 482
Additional Paid In Capital
13 627
13 824
13 984
0
0
0
0
0
0
0
20 471
20 749
21 170
21 515
21 094
20 983
20 904
21 894
21 706
21 735
21 803
0
0
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
17 491
17 680
7 128
9 637
Treasury Stock
0
0
0
0
0
0
0
0
0
0
385
364
188
164
209
297
1 060
1 038
752
744
1 630
0
0
0
Other Equity
0
0
0
8 393
14 087
19 471
18 609
14 440
18 285
0
2 298
2 889
4 810
2 562
398
259
3 870
2 093
1 854
4 179
3 398
10 332
1 434
2 823
Total Equity
24 780
N/A
23 710
-4%
23 401
-1%
31 571
+35%
36 525
+16%
47 226
+29%
45 641
-3%
37 440
-18%
46 230
+23%
47 747
+3%
46 416
-3%
53 606
+15%
52 924
-1%
65 219
+23%
68 475
+5%
70 597
+3%
69 611
-1%
62 428
-10%
69 897
+12%
71 611
+2%
71 135
-1%
46 071
-35%
49 579
+8%
49 943
+1%
Total Liabilities & Equity
485 598
N/A
444 655
-8%
449 235
+1%
503 677
+12%
575 974
+14%
727 609
+26%
722 925
-1%
673 560
-7%
708 254
+5%
728 786
+3%
727 202
0%
761 862
+5%
755 441
-1%
840 069
+11%
887 070
+6%
892 783
+1%
870 128
-3%
930 695
+7%
780 878
-16%
804 589
+3%
775 491
-4%
636 885
-18%
644 385
+1%
653 762
+1%
Shares Outstanding
Common Shares Outstanding
1 810
1 839
1 855
1 953
1 879
2 112
2 099
2 133
2 264
2 294
2 340
2 372
2 414
2 442
2 424
2 419
2 383
2 383
2 387
2 386
2 356
2 265
2 226
2 175