AMERICAN FINANCIAL GROUP INCAFG

Market cap
$11.3B
P/E ratio
13.3x
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Cash and cash equivalents1,0991,3241,7051,6391,3431,2202,1072,3381,5152,3142,8102,1318721,225
Debt Securities, Available-for-Sale19,32821,80724,11826,45630,73432,28434,54438,37941,99746,50543,20710,35710,09510,377
Debt Securities, Trading39344032130526625435934810511366283257
Equity securities, at fair value--------1,8141,9371,6631,0421,0101,018
Equity Method Investments--------1,3741,6881,8811,5171,7001,814
Mortgage loans4684016077811,1171,0671,1471,1251,0681,3291,623520676643
Other Investments------1,0341,311267278276150127129
Total cash and investments22,67025,57728,44931,31336,21037,73641,43346,04848,49855,25252,50215,74514,51215,263
Recoverables from reinsurers------2,7373,3693,3493,415-3,5193,9774,477
Prepaid reinsurance premiums422409471408469480539600610678768834917961
Premiums Receivable, Net5355656367398899379971,1461,2341,3351,2311,2651,3391,471
Deferred policy acquisition costs1,2441,1055509758211,1841,2391,2161,6821,037546267288309
Other receivables6748955398549108209081,0301,0909759598578861,171
Variable Interest Entity, Assets-------------4,484
Other assets6067577869031,0271,2121,6551,5041,5291,8671,6269021,2191,346
Other receivables6748955398549108209081,0301,0909759598578861,171
Goodwill186186185185201199199199207207207246246305
Other assets6067577869031,0271,2121,6551,5041,5291,8671,6269021,2191,346
Variable interest entity, primary beneficiary----------4,9715,2965,447-
Total assets32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Goodwill186186185185201199199199207207207246246305
Variable interest entity, primary beneficiary----------4,9715,2965,447-
Total assets32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Unpaid losses and loss adjustment expenses-6,5206,8456,4107,8728,1278,5639,6789,74110,23210,39211,07411,97413,087
Unearned premiums1,5341,4841,6511,7571,9562,0602,1712,4102,5952,8302,8033,0413,2463,451
Reinsurance Payable3204754755086455916347437528148079201,0351,186
Long-term debt9529349539131,0611,0201,2831,3011,3021,4731,9631,9641,4961,475
Variable Interest Entity, Liabilities-------------4,307
Other liabilities1,1211,4561,3591,5461,5271,5751,7551,8871,7742,2952,1971,7001,6962,023
Long-term debt9529349539131,0611,0201,2831,3011,3021,4731,9631,9641,4961,475
Variable interest entity, primary beneficiary----------4,7715,2205,332-
Total liabilities27,83431,35134,42337,31842,48145,08950,15355,32458,48463,86166,77723,91924,77925,529
Other liabilities1,1211,4561,3591,5461,5271,5751,7551,8871,7742,2952,1971,7001,6962,023
Common Stock, Value, Issued10598899088878788899086858584
Capital surplus1,1661,1211,0631,1231,1521,2141,1111,1811,2451,3071,2811,3301,3681,372
Retained earnings2,5232,5962,5202,7772,9142,9873,3433,2483,5884,0094,1493,4783,1423,121
Accumulated other comprehensive income (loss), net of tax479557831560727304375813488631,273119-543-319
Shareholders’ equity4,6204,6914,7484,7695,0544,7704,9195,3314,9726,2696,7895,0124,0524,258
Variable interest entity, primary beneficiary----------4,7715,2205,332-
Total liabilities27,83431,35134,42337,31842,48145,08950,15355,32458,48463,86166,77723,91924,77925,529
Total liabilities and shareholders’ equity32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Common Stock, Value, Issued10598899088878788899086858584
Capital surplus1,1661,1211,0631,1231,1521,2141,1111,1811,2451,3071,2811,3301,3681,372
Retained earnings2,5232,5962,5202,7772,9142,9873,3433,2483,5884,0094,1493,4783,1423,121
Accumulated other comprehensive income (loss), net of tax479557831560727304375813488631,273119-543-319
Shareholders’ equity4,6204,6914,7484,7695,0544,7704,9195,3314,9726,2696,7895,0124,0524,258
Total liabilities and shareholders’ equity32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Cash and cash equivalents1,0991,3241,7051,6391,3431,2202,1072,3381,5152,3142,8102,1318721,225
Debt Securities, Available-for-Sale19,32821,80724,11826,45630,73432,28434,54438,37941,99746,50543,20710,35710,09510,377
Debt Securities, Trading39344032130526625435934810511366283257
Equity securities, at fair value--------1,8141,9371,6631,0421,0101,018
Equity Method Investments--------1,3741,6881,8811,5171,7001,814
Mortgage loans4684016077811,1171,0671,1471,1251,0681,3291,623520676643
Other Investments------1,0341,311267278276150127129
Total cash and investments22,67025,57728,44931,31336,21037,73641,43346,04848,49855,25252,50215,74514,51215,263
Recoverables from reinsurers------2,7373,3693,3493,415-3,5193,9774,477
Prepaid reinsurance premiums422409471408469480539600610678768834917961
Premiums Receivable, Net5355656367398899379971,1461,2341,3351,2311,2651,3391,471
Deferred policy acquisition costs1,2441,1055509758211,1841,2391,2161,6821,037546267288309
Other receivables6748955398549108209081,0301,0909759598578861,171
Variable Interest Entity, Assets-------------4,484
Other assets6067577869031,0271,2121,6551,5041,5291,8671,6269021,2191,346
Other receivables6748955398549108209081,0301,0909759598578861,171
Goodwill186186185185201199199199207207207246246305
Other assets6067577869031,0271,2121,6551,5041,5291,8671,6269021,2191,346
Variable interest entity, primary beneficiary----------4,9715,2965,447-
Total assets32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Goodwill186186185185201199199199207207207246246305
Variable interest entity, primary beneficiary----------4,9715,2965,447-
Total assets32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Unpaid losses and loss adjustment expenses-6,5206,8456,4107,8728,1278,5639,6789,74110,23210,39211,07411,97413,087
Unearned premiums1,5341,4841,6511,7571,9562,0602,1712,4102,5952,8302,8033,0413,2463,451
Reinsurance Payable3204754755086455916347437528148079201,0351,186
Long-term debt9529349539131,0611,0201,2831,3011,3021,4731,9631,9641,4961,475
Variable Interest Entity, Liabilities-------------4,307
Other liabilities1,1211,4561,3591,5461,5271,5751,7551,8871,7742,2952,1971,7001,6962,023
Long-term debt9529349539131,0611,0201,2831,3011,3021,4731,9631,9641,4961,475
Variable interest entity, primary beneficiary----------4,7715,2205,332-
Total liabilities27,83431,35134,42337,31842,48145,08950,15355,32458,48463,86166,77723,91924,77925,529
Other liabilities1,1211,4561,3591,5461,5271,5751,7551,8871,7742,2952,1971,7001,6962,023
Common Stock, Value, Issued10598899088878788899086858584
Capital surplus1,1661,1211,0631,1231,1521,2141,1111,1811,2451,3071,2811,3301,3681,372
Retained earnings2,5232,5962,5202,7772,9142,9873,3433,2483,5884,0094,1493,4783,1423,121
Accumulated other comprehensive income (loss), net of tax479557831560727304375813488631,273119-543-319
Shareholders’ equity4,6204,6914,7484,7695,0544,7704,9195,3314,9726,2696,7895,0124,0524,258
Variable interest entity, primary beneficiary----------4,7715,2205,332-
Total liabilities27,83431,35134,42337,31842,48145,08950,15355,32458,48463,86166,77723,91924,77925,529
Total liabilities and shareholders’ equity32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787
Common Stock, Value, Issued10598899088878788899086858584
Capital surplus1,1661,1211,0631,1231,1521,2141,1111,1811,2451,3071,2811,3301,3681,372
Retained earnings2,5232,5962,5202,7772,9142,9873,3433,2483,5884,0094,1493,4783,1423,121
Accumulated other comprehensive income (loss), net of tax479557831560727304375813488631,273119-543-319
Shareholders’ equity4,6204,6914,7484,7695,0544,7704,9195,3314,9726,2696,7895,0124,0524,258
Total liabilities and shareholders’ equity32,45436,04239,17142,08747,53549,85955,07260,65863,45670,13073,56628,93128,83129,787