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MMCMarsh & McLennan Companies, Inc.
$174.06$85.3B
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HomeStocksMMCBalance Sheet

Marsh & McLennan Companies, Inc. (MMC) Balance Sheet

30Y historyFree accessUpdated daily

The firm's capital structure remains stable with total assets expanding to $58.8 billion by 2025Q3, while the equity base has grown to $15.2 billion, supporting long-term operational scale.

MMC Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'24Dec'23Dec'22Dec'21Dec'20Dec'19Dec'18Dec'17Dec'16Dec'15Dec'14Dec'13Dec'12Dec'11Dec'10Dec'09Dec'08Dec'07Dec'06Dec'05Dec'04Dec'03Dec'02Dec'01Dec'00Dec'99Dec'98Dec'97Dec'96Dec'95
Total Assets58.78B56.48B48.03B33.45B34.39B33.03B31.32B21.58B20.43B18.19B18.22B17.84B16.93B16.31B15.45B15.31B15.32B15.21B17.36B18.14B17.89B18.34B15.05B13.86B13.29B13.77B13.02B11.87B7.91B4.55B4.33B
Asset Growth %75.84%17.6%43.57%-2.72%4.11%5.47%45.13%5.62%12.31%-0.14%2.11%5.39%3.81%5.52%0.94%-0.08%0.76%-12.4%-4.29%1.37%-2.43%21.82%8.65%4.23%-3.46%5.74%9.69%50%74.12%4.98%13.02%
Total Investment Assets3M541M449M377M2.27B1.77B1.63B661M720M619M565M538M246M155M39M265M94M-3.3B-3.61B597M277M0000000000
Long-Term Investments1.5B541M449M377M2.27B1.77B1.63B661M720M619M565M538M243M155M39M265M94M00597M277M0000000000
Short-Term Investments0000000000000000000000000000000
Total Current Assets23.7B22.12B21.75B8.3B8.26B8.12B7.07B5.93B5.56B4.88B5.04B6.02B6.25B6.02B5.65B5.28B4.87B4.78B5.45B5.83B5.26B4.89B3.9B3.66B3.79B3.64B3.28B3.25B2.57B1.75B1.68B
Cash & Equivalents2.51B2.4B3.36B1.44B1.75B2.09B1.16B1.07B1.21B1.03B1.37B1.96B2.3B2.3B2.11B1.89B1.78B1.69B2.13B2.09B2.02B1.4B665M546M537M240M428M610M424.3M299.6M328.1M
Receivables31.56B7.16B6.42B5.85B5.59B5.33B5.24B4.32B4.13B3.64B3.16B3.38B3.31B3.06B2.91B3.04B2.72B2.75B2.87B2.72B2.73B2.86B2.7B2.48B2.69B2.81B2.3B1.91B1.5B1.09B1.13B
Other Current Assets13.11B12.56B11.97B1B926M701M677M551M224M215M508M686M687M670M629M347M364M344M447M1.03B512M632M233M188M-53M587M557M726M646.6M363.2M218.5M
Goodwill & Intangibles113.71B28.13B19.86B18.79B19.13B18.22B17.41B11.04B10.36B9.49B8.93B7.93B7.37B7.26B6.96B6.82B7.17B7.16B7.76B7.78B7.77B8.14B5.8B5.4B5.33B5.48B5.54B4.83B2.42B545.3M729.7M
Goodwill23.95B23.31B17.23B16.25B16.32B15.52B14.67B9.6B9.09B8.37B7.89B7.24B6.89B6.79B6.56B3.04B2.72B7.16B7.76B7.78B00000000000
Intangible Assets4.67B4.82B2.63B2.54B2.81B2.7B2.77B1.44B1.27B1.13B1.04B692M472M469M401M000007.77B8.14B5.8B5.4B5.33B5.48B5.54B4.83B2.42B545.3M729.7M
PP&E (Net)1.44B2.36B2.42B2.43B2.71B2.75B2.78B701M712M725M773M809M828M809M804M822M952M969M992M1.04B1.18B1.39B1.39B1.31B1.24B1.36B1.31B1.29B957.3M770.1M757.5M
Other Assets4.78B3.1B3.19B3.2B1.46B1.46B1.76B2.57B2.4B1.37B1.77B1.63B1.62B877M795M919M929M2.29B3.15B3.48B3.68B3.92B3.97B3.48B2.94B3.29B2.88B2.51B1.97B1.48B1.16B
Total Liabilities43.42B42.95B35.66B22.7B23.17B23.77B23.37B13.99B12.99B11.92B11.61B10.71B8.95B9.7B9.51B8.89B9.44B9.48B9.54B12.32B12.53B13.28B9.6B8.84B8.12B8.54B8.85B8.21B4.72B2.66B2.66B
Total Debt21.43B21.86B15.44B13.47B13.16B13.58B14.22B5.82B5.49B4.81B4.41B3.39B2.96B2.92B2.93B3.03B3.59B3.6B3.86B4.97B5.54B5.33B3.36B3.43B3.09B2.68B3.49B3.82B1.48B850.6M981.7M
Net Debt18.91B19.46B12.08B12.03B11.41B11.49B13.07B4.76B4.28B3.78B3.04B1.43B652M617M815M1.14B1.81B1.92B1.73B2.88B3.52B3.93B2.69B2.89B2.55B2.44B3.06B3.21B1.05B551M653.6M
Long-Term Debt18.32B19.43B11.84B11.23B10.93B10.8B10.74B5.51B5.22B4.5B4.4B3.38B2.62B2.66B2.67B3.03B3.03B3.19B3.6B3.86B5.04B4.69B2.91B2.89B2.33B2.35B2.36B1.59B1.24B458.2M410.6M
Short-Term Debt1.26B519M1.62B268M17M517M1.22B314M262M312M12M11M334M260M260M8M558M408M260M1.11B498M636M447M543M757M337M1.13B2.23B237M392.4M571.1M
Total Current Liabilities21.1B19.52B19.8B17.83B6.65B6.56B6.68B4.92B4.26B4.08B3.71B3.68B3.81B3.56B3.74B3.1B3.68B3.39B3.49B5.55B4.35B4.74B4.09B3.86B3.94B4.12B4.32B5B2.38B1.56B1.57B
Accounts Payable3.35B3.4B3.4B3.28B3.17B3.05B2.75B2.23B2.08B1.97B1.89B1.88B1.86B1.72B2.02B1.74B1.75B1.69B1.67B2.48B1.73B1.82B1.5B1.41B1.35B1.96B1.76B1.34B1.22B447.5M485.4M
Deferred Revenue0000000000000000000000000000000
Other Current Liabilities16.15B14.9B14.14B13.76B2.94B2.4B2.2B2.22B1.72B1.66B1.66B001.47B1.4B1.29B50M0177M601M515M432M606M152M-330M1.82B1.43B1.43B919.4M716.4M513M
Deferred Taxes0000000000000000000000000000000
Other Liabilities2.5B2.41B2.36B-8.02B3.7B4.53B4.03B3.56B3.5B3.34B3.5B3.61B2.58B3.47B3.11B2.76B2.73B2.9B2.44B2.91B3.14B3.85B2.6B2.08B1.85B2.08B2.18B1.62B1.1B642.1M683.9M
Total Equity15.36B13.54B12.37B10.75B11.22B9.26B7.94B7.57B7.44B6.27B6.6B7.13B7.97B6.61B5.94B6.42B5.86B5.72B7.82B5.82B5.36B5.06B5.45B5.02B5.17B5.23B4.17B3.66B3.2B1.89B1.67B
Equity Growth %50.87%9.42%15.08%-4.21%21.19%16.58%4.87%1.77%18.65%-5%-7.44%-10.56%20.72%11.21%-7.4%9.41%2.46%-26.85%34.42%8.56%6.01%-7.25%8.63%-3%-1.05%25.37%13.97%14.39%69.37%13.4%14.03%
Shareholders Equity15.15B13.34B12.19B10.52B11.01B9.1B7.79B7.51B7.36B6.19B6.51B7.05B7.91B6.54B5.88B6.37B5.83B5.72B7.82B5.82B5.36B5.06B5.45B5.02B5.17B5.23B4.17B3.66B3.23B1.89B1.67B
Minority Interest206M193M179M229M213M156M150M73M83M80M89M79M70M64M57M47M35M00000000000000
Retained Earnings26.95B25.31B22.76B20.3B18.39B16.27B15.2B14.35B13.14B12.39B11.3B10.34B9.45B8.63B7.95B7.44B7.03B7.24B7.73B5.69B4.99B5.04B5.39B4.49B3.72B3.32B2.67B2.41B1.98B1.91B1.69B
Common Stock561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M561M280M278M269M0000
Accumulated OCI-5.44B-6.24B-5.29B-5.31B-4.58B-5.11B-5.05B-4.65B-4.04B-5.09B-4.22B-3.85B-2.62B-3.31B-3.19B-2.3B-2.17B-2.1B-351M-1.27B-756M-370M-279M-452M-227M-149M-75M-820M-797.6M-695.7M-638.5M
Return on Equity (ROE)26.87%31.35%32.49%27.76%30.69%23.44%22.45%21.98%21.76%27.47%23.28%19.39%18.61%18.75%16.07%13.93%3.92%-1.08%36.29%17.71%7.76%7.16%29.42%26.79%18.73%25.13%18.55%23.21%17.06%25.83%25.78%
Return on Assets (ROA)7.02%7.77%9.22%8.99%9.32%6.27%6.59%7.86%7.73%9.71%8.87%8.43%8.17%7.41%6.46%5.58%1.49%-0.45%13.95%5.5%2.23%2.25%10.65%10.06%7.2%8.82%5.83%8.05%6.97%10.34%9.87%
Equity / Assets26.13%23.96%25.75%32.13%32.63%28.04%25.36%35.1%36.43%34.48%36.24%39.98%47.11%40.51%38.44%41.9%38.27%37.63%45.06%32.08%29.96%27.57%36.21%36.22%38.92%37.97%32.03%30.82%40.42%41.55%38.47%
Debt / Equity1.40x1.62x1.25x1.25x1.17x1.47x1.79x0.77x0.74x0.77x0.67x0.47x0.37x0.44x0.49x0.47x0.61x0.63x0.49x0.85x1.03x1.05x0.62x0.68x0.60x0.51x0.84x1.05x0.46x0.45x0.59x
Book Value per Share31.0927.2924.7921.2921.8818.0915.5414.8214.3411.9712.3212.9014.2911.9710.7811.7911.1911.1114.3310.459.879.459.959.019.039.207.676.936.384.283.76
Tangible BV per Share-26.84-29.42-15.01-15.92-15.41-17.49-18.59-6.77-5.63-6.15-4.33-1.451.09-1.19-1.866.215.99-2.800.12-3.51-4.44-5.76-0.63-0.69-0.27-0.44-2.52-2.211.563.042.11

Key Metrics

Growth RegimeExpanding
ProfitabilityStrong
Balance SheetHealthy
Cash FlowMixed
Top Statement Risk

Fiduciary asset volatility

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2025Q3)

Asset Expansion Outpacing Equity Growth

As reported in recent financial statements, MMC's total assets grew from $46.6 billion in 2023Q2 to $58.8 billion by 2025Q3, a trend that appears to reflect both successful inorganic expansion and the accumulation of fiduciary assets inherent in the firm's current brokerage business model.

The widening gap between total assets and equity suggests that MMC is increasingly utilizing its balance sheet to support larger volumes of client premiums held in transit. Investors should monitor whether this asset growth is primarily driven by organic brokerage success or if it indicates a shift toward higher-leverage capital structures.

Equity Base Resilience Amid Expansion

Based on the provided quarterly data, MMC's equity base has expanded from $12.0 billion in 2023Q2 to $15.2 billion in 2025Q3, indicating that the firm is successfully retaining earnings to support its capital-intensive brokerage operations despite consistent shareholder distributions through dividends and share repurchases.

The steady growth in equity suggests that management is balancing capital returns with the need to maintain a robust buffer against operational risks. This capital accumulation appears to provide the necessary flexibility for future strategic acquisitions, though the sustainability of this growth remains sensitive to the firm's dividend payout policy.

Claims Reserve Stability Under Scrutiny

According to historical balance sheet figures, MMC's claims and loss reserves have remained relatively stable, hovering near $3.9 billion in recent quarters, which may indicate a disciplined approach to managing long-tail liabilities within the firm's reinsurance and specialty risk brokerage segments.

The consistency in reserve levels relative to the firm's expanding asset base suggests that management is not currently signaling an expectation of significant adverse development in its underlying risk exposures. However, the lack of volatility in these figures warrants further investigation into the firm's actuarial assumptions regarding inflation-sensitive claims.

Fiduciary Liquidity and Asset Composition

As indicated by the reported balance sheet data, MMC maintains a significant portion of its total assets in non-investment categories, which appears to reflect the firm's role as a custodian of fiduciary funds rather than a traditional asset-heavy insurance carrier with a large investment portfolio.

The minimal reported investment portfolio suggests that MMC's liquidity profile is heavily dependent on the timing of premium collections and disbursements rather than investment income yields. This structure implies that the firm's liquidity is highly sensitive to the operational efficiency of its cash management systems and the timing of insurance renewals.

MMC — Frequently Asked Questions

Quick answers to the most common questions about buying MMC stock.

What are the total assets of Marsh & McLennan Companies, Inc. (MMC)?

As of 2024, Marsh & McLennan Companies, Inc. (MMC) had total assets of $56.48B including $22.12B in current assets.

How much debt does Marsh & McLennan Companies, Inc. (MMC) have?

Marsh & McLennan Companies, Inc. (MMC) carries total debt of $21.86B, offset by $2.40B in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of Marsh & McLennan Companies, Inc.?

Marsh & McLennan Companies, Inc. (MMC) has total shareholders' equity (book value) of $13.34B ($27.29 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is Marsh & McLennan Companies, Inc.'s current ratio and liquidity?

Marsh & McLennan Companies, Inc. (MMC) reported a current ratio of 1.13x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.