American Equity Investment Life Holding Company (AEL)

NYSE: AEL · IEX Real-Time Price · USD
36.24
+0.12 (0.33%)
Aug 8, 2022 4:00 PM EDT - Market closed

Balance Sheet (Trailing)

Financials in millions USD. Fiscal year is January - December.
Millions USD. Fiscal year is Jan - Dec.
Quarter Ending 2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-30 +58 Quarters
Cash & Equivalents
1,933.94,508.9812,684.7911,524.2711,087.139,095.522,656.632,408.641,833.12,293.391,138.741,215.971,115.89344.41,129.241,259.72723.781,434.051,285.661,574.911,172.75791.27812.811,547.04707.18397.75523.61733.81293.76701.51788.81,464.53679.17897.53934.93746.89882.11,268.552,397.431,407.83
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Cash & Cash Equivalents
1,933.94,508.9812,684.7911,524.2711,087.139,095.522,656.632,408.641,833.12,293.391,138.741,215.971,115.89344.41,129.241,259.72723.781,434.051,285.661,574.911,172.75791.27812.811,547.04707.18397.75523.61733.81293.76701.51788.81,464.53679.17897.53934.93746.89882.11,268.552,397.431,407.83
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Cash Growth
-82.56%-50.43%377.48%378.46%504.83%296.60%133.30%98.08%64.27%565.92%0.84%-3.47%54.17%-75.98%-12.17%-20.01%-38.28%81.23%58.17%1.80%65.84%98.94%55.23%110.82%140.73%-43.30%-33.62%-49.89%-56.75%-21.84%-15.63%96.08%-23.00%-29.25%-61.00%-46.95%----
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Total Assets
74,899.3478,349.1178,317.9673,882.372,677.6771,688.5868,665.0868,608.365,549.5669,696.5568,329.9966,371.364,482.1661,625.5663,44961,627.561,301.3262,030.7460,379.7259,635.5957,548.6156,053.4755,848.2253,721.3351,262.9449,029.3947,128.4246,247.4845,388.7243,989.7342,953.5342,003.740,544.539,621.538,713.1537,288.5536,852.9735,133.4834,597.7733,133.6
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Total Liabilities
69,727.1772,025.9871,942.7667,586.5666,748.9165,339.5962,546.3463,546.2462,026.865,126.4364,203.2862,873.8361,542.6359,226.4660,959.759,200.6858,754.3359,180.5857,617.0556,984.1855,112.3853,761.8853,035.3651,107.9449,028.6247,084.8644,978.5144,339.7243,06241,849.8640,978.4540,089.8938,889.5538,236.8137,318.4835,846.4735,122.7433,413.2432,882.8231,555.95
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Total Debt
574.93574.67574.44574.22574573.78573.57573.35573.14652.38738.29738.05737.81737.57737.34737.11736.88736.66736.121,130.71736.02735.61735.2635.39635.03634.68646.4668.51668.21667.92721.49720.51767.86796.01937.46549.08558.96555.74552.52559.72
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Debt Growth
0.16%0.15%0.15%0.15%0.15%-12.05%-22.31%-22.31%-22.32%-11.55%0.13%0.13%0.13%0.12%0.17%-34.81%0.12%0.14%0.13%77.95%15.90%15.90%13.74%-4.95%-4.96%-4.98%-10.41%-7.22%-12.98%-16.09%-23.04%31.22%37.37%43.23%69.67%-1.90%-1.79%-1.85%-9.29%-7.60%
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Common Stock
1,784.651,706.921,701.581,697.121,783.181,776.881,602.951,599.791,306.981,303.43911.37908.93905.87901.56897.59894.33888.82880.78872.05867.12864.47858.35855.47719.14717.89711.72708.11601.04597.88589.28616.15612.56614.08620.3551.07574.11564.99555.88552.41539.6
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Retained Earnings
3,322.732,767.422,716.652,574.712,640.322,368.562,403.681,742.431,995.811,768.761,575.921,538.561,519.971,549.981,521.421,352.091,258.191,244.781,231.131,174.171,147.221,093.28993.61,001.02986.311,031.151,015.25917.94835.1829.2812.99745.18708.43718.19679.87623.69503.58477.55450.35458.18
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Comprehensive Income
63.711,848.791,956.972,023.911,505.262,203.562,112.111,719.84219.971,497.921,639.431,049.98513.7-52.4370.29180.41399.98724.6659.49610.12424.54339.97963.8893.23530.12201.66426.56388.78893.74721.4545.93556.07332.4446.2163.73244.28661.66686.81712.19579.87
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Shareholders' Equity
5,171.096,323.136,375.216,295.745,928.766,348.996,118.735,062.063,522.764,570.124,126.723,497.482,939.542,399.12,489.32,426.832,546.992,850.162,762.672,651.412,436.232,291.62,812.862,613.392,234.321,944.542,149.911,907.762,326.722,139.881,975.081,913.811,654.951,384.691,394.671,442.081,730.231,720.241,714.951,577.65
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Total Liabilities and Equity
74,898.2678,349.1178,317.9673,882.372,677.6771,688.5868,665.0868,608.365,549.5669,696.5568,329.9966,371.364,482.1661,625.5663,44961,627.561,301.3262,030.7460,379.7259,635.5957,548.6156,053.4755,848.2253,721.3351,262.9449,029.3947,128.4246,247.4845,388.7243,989.7342,953.5342,003.740,544.539,621.538,713.1537,288.5536,852.9735,133.4834,597.7733,133.6
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Net Cash / Debt
1,358.973,934.3112,110.3510,950.0510,513.138,521.742,083.071,835.281,259.961,641.01400.44477.92378.08-393.18391.9522.61-13.1697.39549.55444.21436.7355.6677.62911.6572.15-236.93-122.7865.31-374.4533.5967.31744.03-88.68101.52-2.52197.81323.14712.811,844.91848.11
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Net Cash / Debt Growth
-87.07%-53.83%481.37%496.64%734.40%419.30%420.19%284.02%233.25%-2.18%-8.55%---28.69%17.65%-1152.99%608.01%-51.27%505.35%--1295.97%----91.22%--66.91%-276.14%--85.76%--76.68%----
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Net Cash Per Share
14.0242.53130.90114.75110.1692.6122.6520.0513.8018.024.405.264.18-4.354.345.80-0.157.836.185.004.950.630.8811.080.88-2.91-1.590.85-4.870.440.9010.01-1.241.47-0.043.095.1011.3529.4614.15
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Book Value Per Share
53.3468.3568.9165.9762.1269.0066.5455.3138.5950.2045.3638.4832.4826.5527.5726.9428.3431.9831.0729.8727.6026.0231.9631.7627.2923.8427.8724.7630.2728.3126.4125.7523.0520.0521.5522.5327.3127.3927.3926.33
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).