Assurant Cash Flow Statement 2009-2024 | AIZ

Fifteen years of historical annual cash flow statements for Assurant (AIZ).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$643$277$1,362$441$383$251$520$565$142$471$489$484$539$279$431
$196$182$172$142$126$70.00$11.80$-269.40$124$134$109$106$109$116$91.34
$69.50$357$-515.10$578$532$184$3.20$386$-156.10$-405.39$15.31$-37.06$1.55$347$169
$266$539$-343.50$721$658$254$15.00$116$-32.00$-271.67$124$68.92$110$463$260
$466$-1,275.10$-871.10$-39.30$-462.80$389$-946.40$-453.10$29.90$-763.47$234$-915.55$-387.44$-796.77$-209.53
$0$0$0$0$0$0$0$0$-27.30$-85.74$-34.68$-5.81$0$0$0
$-68.50$41.70$89.90$-254.20$25.70$3.80$24.60$-99.30$-178.70$317$188$6.70$152$-50.62$-132.46
$-43.80$949$694$449$776$-378.10$1,071$-16.30$246$658$-111.35$1,031$429$599$42.93
$261$-195.80$-233.20$178$353$152$43.90$-561.50$54.00$189$450$113$138$-265.08$-310.15
$1,138$597$782$1,342$1,413$657$530$109$230$394$1,028$680$855$541$270
$-202.50$-186.30$-187.40$-121.20$-110.30$-82.80$-35.90$-85.20$-114.90$-83.60$-50.90$-54.08$-31.92$-50.83$-54.34
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-0.30$-67.70$1,299$-458.60$-7.60$-1,050.10$-129.10$811$33.00$-149.19$-181.87$-2.14$-45.08$-11.56$4.92
$-90.80$80.70$-65.20$68.80$-39.00$-52.20$-53.90$273$-196.70$93.57$-173.60$140$-90.37$95.77$255
$-408.30$-162.80$-836.10$-46.90$-265.60$-1,176.40$-343.30$-530.60$400$27.11$20.15$-597.51$-15.20$-18.28$-46.83
$-499.10$-82.10$-901.30$21.90$-304.60$-1,228.60$-397.20$-257.40$204$121$-153.46$-457.20$-105.57$77.49$208
$64.20$74.00$-52.70$-177.30$-197.30$159$21.00$258$143$176$-6.51$63.54$-14.01$-23.97$-16.88
$-637.70$-262.10$158$-735.20$-619.80$-2,202.50$-541.20$726$264$63.89$-392.74$-449.88$-196.59$-8.88$141
$-51.80$-75.90$-72.60$243$235$1,824$451$-123.40$0$-467.33$665$-0.78$-41.72$-83.07$-36.23
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-51.80$-75.90$-72.60$243$235$1,824$451$-123.40$0$-467.33$665$-0.78$-41.72$-83.07$-36.23
$-193.10$-572.80$-839.30$-297.00$-271.80$-139.30$-388.90$-863.10$-292.90$-215.18$-393.01$-412.20$-533.85$-522.55$-31.95
$-193.10$-572.80$-839.30$-297.00$-271.80$137$-388.90$-863.10$-292.90$-215.18$-393.01$-412.20$-538.85$-525.71$-34.95
$-152.30$-150.20$-162.30$-173.30$-170.10$-148.00$-119.00$-125.30$-94.20$-77.50$-74.13$-69.39$-67.39$-69.62$-69.60
$-6.70$-19.50$-15.60$-37.00$27.20$25.00$30.40$31.50$-75.30$-16.19$-1.11$1.73$11.10$-21.08$-1.79
$-403.90$-818.40$-1,089.80$-264.80$-179.20$1,838$-26.70$-1,080.30$-462.40$-776.20$197$-480.64$-636.85$-699.47$-142.56
$90.70$-518.10$-173.80$362$613$257$-35.20$-256.30$-30.30$-398.53$808$-257.31$16.20$-168.04$278
$75.10$62.60$66.70$57.90$55.90$57.10$35.50$41.60$38.80$49.35$50.00$37.59$36.89$34.59$30.29
$-152.30$-150.20$-157.60$-154.60$-151.40$-133.80$-119.00$-125.30$-94.20$-77.50$-74.13$-69.39$-67.39$-69.62$-69.60