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AIZNAssurant, Inc. 5.25% Subordinat
$19.00$944M
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksAIZNQuarterly Balance Sheet

Assurant, Inc. 5.25% Subordinat (AIZN) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Assurant, Inc. 5.25% Subordinat (AIZN) quarterly balance sheet — complete assets, liabilities & equity history

AIZN Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Total Assets33.55B36.29B35.78B35.53B34.99B35.02B35.33B33.77B33.23B33.64B33.21B33.1B32.92B33.12B33.25B31.73B33.02B33.92B33.62B45.99B
Asset Growth %-4.12%3.62%1.27%5.19%5.31%4.12%6.39%2.02%0.94%1.56%-0.11%4.34%-0.33%-2.37%-1.13%-31.02%-25.64%-24.03%-22.85%3.98%
Total Investment Assets1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Long-Term Investments11.81B7.34B7.15B6.97B6.59B1.09B6.52B7.69B7.65B7.39B7.08B7.16B7B6.72B6.71B6.8B7.4B7.91B8.29B7.03B
Short-Term Investments8.78B2.72B2.63B2.55B2.45B7.46B2.45B2.28B7.41B2.11B6.82B6.9B6.72B6.44B6.4B6.49B7.03B7.46B7.87B6.72B
Total Current Assets12.4B13.15B13.43B13.42B13.47B19.03B13.79B0000000000000
Cash & Equivalents1.59B1.83B1.71B1.49B1.67B1.81B1.81B1.71B1.28B1.63B1.43B1.4B1.53B1.54B1.43B1.18B1.25B2.04B2.03B2.75B
Receivables2.03B8.6B9.09B9.38B9.34B9.76B9.53B8.54B8.59B8.91B9.09B8.98B8.99B9.41B9.85B8.47B8.34B8.12B8.84B8.4B
Other Current Assets0000000-12.53B-17.28B-12.65B-17.34B-17.28B-17.23B-17.38B-17.69B-16.14B-16.62B-17.63B-18.73B-17.87B
Goodwill & Intangibles2.65B13.36B13.31B13.31B13.14B13.14B13.27B3.19B3.22B3.26B3.32B3.38B3.43B3.5B3.5B3.63B3.75B3.87B3.92B4.08B
Goodwill2.65B2.65B2.65B2.63B2.62B2.62B2.63B2.62B2.61B2.61B2.61B2.61B2.6B2.6B2.55B2.56B2.57B2.57B2.58B2.59B
Intangible Assets511.1M10.71B10.66B10.67B10.52B10.53B10.64B575.9M609.4M651M714.6M774.8M826.7M901.7M954.5M1.07B1.18B1.3B1.34B1.5B
PP&E (Net)0841.7M831.1M811.5M786.3M768.3M742.2M732.6M706.1M685.8M664.4M642.7M671.2M645.1M617.6M608.8M585.3M561.4M529M495.2M
Other Assets19.08B1.6B1.06B1.02B1.01B991.7M1B-11.62B-11.57B-11.34B-11.06B-11.18B-11.1B-10.87B-10.83B-11.04B-11.74B-12.34B-12.74B-11.61B
Total Liabilities29.9B30.42B30.02B30.03B29.75B29.91B30.08B28.77B28.31B28.83B28.72B28.62B28.52B28.89B29.15B27.27B28B28.46B27.88B40.09B
Total Debt2.21B2.21B2.21B2.08B2.08B2.08B2.08B2.08B2.08B2.08B2.08B2.13B2.13B2.13B2.13B2.13B2.2B2.2B2.2B2.55B
Net Debt615.8M372.8M493.9M597.7M414.1M275.4M269.1M368.7M799.3M453M654.7M727.7M603.2M593.2M699.5M946.9M952.1M161.7M174M-195.5M
Long-Term Debt2.21B2.21B2.21B1.91B1.91B2.08B2.08B2.08B2.08B2.08B2.08B2.08B2.08B1.91B2.13B2.13B2.2B2.2B2.2B2.55B
Short-Term Debt000174.6M174.4M00000050M50M224.7M000000
Total Current Liabilities023.89B23.69B23.89B23.74B23.96B24.74B0000000000000
Accounts Payable02.1B2.21B2.35B2.57B2.91B3.56B2.58B2.41B2.42B2.43B2.5B2.63B2.7B3.54B2.01B1.96B2.05B2.29B2.05B
Deferred Revenue20.9B20.88B20.61B20.5B20.13B20.21B20.4B0000000000000
Other Current Liabilities-20.9B266.4M279.4M268.1M275.1M277.7M257.8M-3.1B-2.9B-2.96B-3.03B-3.18B-3.24B-3.58B-4.21B-2.66B-2.59B-2.74B-2.95B-2.79B
Deferred Taxes00000000000000000000
Other Liabilities2.11B4.32B4.12B4.23B4.11B3.87B3.25B-2.08B-2.08B-2.08B-2.08B-2.08B-2.08B-1.91B-2.13B-2.13B-2.2B-2.2B-2.2B-2.55B
Total Equity5.87B5.87B5.76B5.5B5.23B5.11B5.26B5B4.92B4.81B4.49B4.49B4.4B4.23B4.1B4.46B5.02B5.46B5.74B5.91B
Equity Growth %12.14%14.98%9.58%9.88%6.39%6.18%17.03%11.55%11.91%13.73%9.56%0.59%-12.44%-22.61%-28.65%-24.52%-13.81%-8.24%-3.29%-1.27%
Shareholders Equity5.87B5.87B5.76B5.5B5.23B5.11B5.26B5B4.92B4.81B4.49B4.49B4.4B4.23B4.1B4.46B5.02B5.46B5.74B5.91B
Minority Interest00000000000000000000
Retained Earnings4.95B4.83B4.73B4.57B4.43B4.38B4.32B4.31B4.19B4.03B3.99B3.88B3.78B3.7B3.68B3.77B3.98B4.04B4.22B3.64B
Common Stock6.5B500K500K500K500K500K500K500K600K600K600K600K600K600K600K600K600K700K700K700K
Accumulated OCI-629M-544.2M-547M-634.6M-748.5M-836.1M-627.2M-852.7M-811.2M-765M-1.05B-922.7M-899.5M-986.2M-1.08B-822.2M-485.3M-150M-84.1M604M
Return on Equity (ROE)4.67%3.87%4.72%4.38%2.84%3.89%2.61%3.8%4.86%3.92%4.24%3.52%2.63%1.64%0.17%1.1%2.84%2.21%15.1%3.51%
Return on Assets (ROA)0.78%0.62%0.74%0.67%0.42%0.57%0.39%0.56%0.71%0.55%0.57%0.47%0.34%0.21%0.02%0.16%0.45%0.37%2.21%0.46%
Equity / Assets17.5%16.18%16.09%15.48%14.96%14.58%14.87%14.82%14.81%14.3%13.52%13.55%13.36%12.77%12.33%14.06%15.21%16.11%17.08%12.85%
Debt / Equity0.38x0.38x0.38x0.38x0.40x0.41x0.40x0.42x0.42x0.43x0.46x0.47x0.48x0.50x0.52x0.48x0.44x0.40x0.38x0.43x
Book Value per Share116.93116.97112.21106.62101.1898.06100.1794.9393.0590.0183.5583.2481.8778.6475.8181.0689.3794.6596.5896.35
Tangible BV per Share53.86-149.10-147.21-151.37-152.82-154.35-152.7034.3332.1929.0021.7820.5017.9913.4611.0415.0522.6527.5430.7229.74