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MetLife, Inc. (MET)

Stock Price: $39.67 USD 0.35 (0.89%)
Updated Sep 18, 2020 4:01 PM EDT - Market closed

Balance Sheet (Annual)

Numbers in millions USD. Fiscal year is January-December.
Year20192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Cash & Equivalents16,59815,82112,70112,65112,75210,8087,58515,73810,46112,95710,11224,2079,9617,1074,0184,0483,6832,3237,4733,4342,7893,301-
Cash & Cash Equivalents16,59815,82112,70112,65112,75210,8087,58515,73810,46112,95710,11224,2079,9617,1074,0184,0483,6832,3237,4733,4342,7893,3010.00
Cash Growth4.91%24.56%0.4%-0.79%17.99%42.49%-51.8%50.44%-19.26%28.13%-58.23%143.02%40.16%76.88%-0.74%9.91%58.54%-68.91%117.62%23.13%-15.51%--
Receivables20,44319,64418,42315,44522,70222,24421,85921,63422,48119,79916,75216,97313,37314,49012,1866,6957,0246,4456,5097,4596,6815,972-
Other Current Assets-37,041.00-35,465.00-31,124.00-28,096.00-35,454.00-33,052.00-29,444.00-37,372.00-32,942.00-32,756.00-26,864.00-41,180.00-23,334.00-21,597.00-16,204.00-10,743.00-10,707.00-8,768.00-13,982.00-10,893.00-9,470.00-9,273.000.00
Goodwill and Intangibles9,3089,4229,5909,2209,4779,87210,5429,95311,93511,7815,0475,0084,8144,8974,797633-------
Other Long-Term Assets-9,308.00-9,422.00-9,590.00-9,220.00-9,477.00-9,872.00-10,542.00-9,953.00-11,935.00-11,781.00-5,047.00-5,008.00-4,814.00-4,897.00-4,797.00-633.000.000.000.000.000.000.000.00
Total Assets740,463687,538719,892898,764877,933902,337885,296836,781796,226730,906539,314501,678559,149527,715481,645356,808326,841277,426256,970254,134225,232215,346-
Accounts Payable26,74524,79425,72325,87336,87135,32630,41133,68733,71627,27224,19631,05944,13645,84634,51528,67827,08317,86212,66112,3016,461--
Other Current Liabilities-26,745.00-24,794.00-25,723.00-25,873.00-36,871.00-35,326.00-30,411.00-33,687.00-33,716.00-27,272.00-24,196.00-31,059.00-44,136.00-45,846.00-34,515.00-28,678.00-27,083.00-17,862.00-12,661.00-12,301.00-6,461.000.000.00
Other Long-Term Liabilities0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Total Liabilities674,081634,580661,022831,062809,437829,678822,313771,823738,232681,793505,816477,693523,970493,917452,544333,984305,692258,776239,652236,655211,542200,479-
Total Debt17,84417,30420,42821,12625,45623,77526,21726,55032,21736,38022,62021,27618,72415,20813,4368,8579,3455,5863,9833,4856,7226,488-
Debt Growth3.12%-15.29%-3.3%-17.01%7.07%-9.31%-1.25%-17.59%-11.44%60.83%6.32%13.63%23.12%13.19%51.7%-5.22%67.29%40.25%14.29%-48.16%3.61%--
Common Stock20,01422,09324,72227,48227,65929,38429,11727,85126,62226,26216,67815,58414,21716,10616,32413,26014,16412,57113,04014,3210.000.000.00
Retained Earnings33,07828,92626,52734,68335,51932,02027,33225,20524,81421,36319,50122,40319,88416,57410,8656,6084,1932,8071,3491,02114,10013,483-
Comprehensive Income13,0521,7227,4275,3664,77110,6495,10411,3976,0831,000-3,058-14,2531,0781,1181,9122,9562,7922,0071,6731,047-4101,384-
Shareholders' Equity66,14452,74158,67667,53167,94972,05361,55364,45357,51948,62533,12123,73435,17933,79829,10122,82421,14917,38516,06216,38913,69014,867-
Total Liabilities and Equity740,225687,321719,698898,593877,386901,731883,866836,276795,751730,418538,937501,427559,149527,715481,645356,808326,841276,161255,714253,044225,232215,3460.00
Net Cash / Debt-1,246-1,483-7,727-8,475-12,704-12,967-18,632-10,812-21,756-23,423-12,5082,931-8,763-8,101-9,418-4,809-5,662-3,2633,490-51.00-3,933-3,1870.00
Net Cash / Debt Growth-15.98%-80.81%-8.83%-33.29%-2.03%-30.4%72.33%-50.3%-7.12%87.26%--8.17%-13.98%95.84%-15.07%73.52%---98.7%23.41%--
Net Cash Per Share-1.35-1.50-7.34-7.71-11.43-11.41-16.62-9.91-20.57-23.77-15.283.69-11.83-10.66-12.44-6.46-7.45-4.664.82-0.07-5.28--
Book Value Per Share71.9253.4455.7661.4461.1363.4354.9159.0854.3949.3540.4529.9147.5044.4638.4330.6627.8224.8322.1621.4418.36--