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
Net earnings, including noncontrolling interests4233204024534063706684775178697211,995898-
Net earnings4793434884714523706684775308977321,995898852
Depreciation and amortization21419225714214413213410721025929918710078
Annuity benefits4445105415316487328008929981,1511,192377--
Realized gains (losses) on investing activities927436723058-1006123-2652883131,131-110-38
Net (purchases) sales of trading securities-11-45172-109107917111-520-5-2-5
Deferred annuity and life policy acquisition costs-211-253-212-22219822423022526320615498--
Reinsurance and other receivables--------211112533350644794
Other assets-8101511498713467-13-96406-138-34413819
Insurance claims and reserves----------8129121,1051,318
Payable to reinsurers-150155-51134-544310996213113115151
Other liabilities2246-180280-6327265-18-140516-71-70-6972
Managed investment entities’ assets/liabilities----------23-25144183-305
Other operating activities, net-238241526-2037-82-11034-416-139-26
Net cash provided by operating activities8646678177601,2221,3571,1501,8042,0832,4562,1831,7141,1531,970
Purchases of fixed maturities4,9795,3214,4586,6906,8467,2017,5379,48510,1838,26010,3357,9784,3872,005
Purchases of equity securities-----------193239146
Purchases of mortgage loans159190269274450213341254167442372218273-
Purchases of equity index call options and other investments------738831973991897391141150
Purchases of real estate, property and equipment748671524710249109804460628672
Purchases of businesses128---267---36-312310234
Proceeds from maturities and redemptions of fixed maturities2,0811,9742,2623,2362,9883,3334,7136,1054,9484,5675,7495,0352,5111,310
Proceeds from repayments of mortgage loans7126946102116265262215201184848411834
Proceeds from sales of fixed maturities1,5401,2936322752873216413925019273,7297451,294650
Proceeds from sales of equity securities------------174164
Proceeds from Sale and Maturity of Other Investments------31978988377198858414178
Proceeds From Sales Of Real Estate Property and Equipment4343414117555534546313
Proceeds from sale of businesses----------33,581--
Cash and cash equivalents of businesses acquired and sold-----------425-2,058-26
Purchases of investments1,0081,5631,8491,4261,6921,5302,2542,9792,1171,3981,5022,1551,5151,466
Proceeds from sales and redemptions of investments1,0181,3911,8571,9041,4178551,8902,7741,9481,4091,2212,1121,3352,228
Other investing activities, net-101423-8-9917483-2-3031-3246
Net cash provided by (used in) investing activities-1,705-2,439-1,425-2,915-3,619-4,577-2,981-3,292-5,350-3,065-1,564-436-1,051414
Additional long-term borrowings1592372-145145302712-315634---
Reductions of long-term debt392036540219218745-150150-47721
Reductions of long-term debt392036540219218745-150150-47721
Issuances of Common Stock3239465447613537333622661615
Issuances of Common Stock3239465447613537333622661615
Repurchases of Common Stock29231541570191126133-6-31331911213
Repurchases of Common Stock29231541570191126133-6-31331911213
Cash dividends paid on Common Stock6367901601671761854173944443342,3741,213684
Cash dividends paid on Common Stock6367901601671761854173944443342,3741,213684
Annuity receipts2,2823,3262,9934,2333,6964,4854,5854,3415,6324,9604,2872,403--
Annuity receipts2,2823,3262,9934,2333,6964,4854,5854,3415,6324,9604,2872,403--
Ceded annuity receipts----------492311--
Ceded annuity receipts----------492311--
Annuity surrenders, benefits and withdrawals1,2211,3211,5041,5881,7732,0252,2752,4052,9163,3583,7111,931--
Annuity surrenders, benefits and withdrawals1,2211,3211,5041,5881,7732,0252,2752,4052,9163,3583,7111,931--
Ceded annuity surrenders, benefits and withdrawals----------206282--
Ceded annuity surrenders, benefits and withdrawals----------206282--
Net Transfers From To Separate Accounts73936324343425447606134--
Net Transfers From To Separate Accounts73936324343425447606134--
Issuances of managed investment entities’ liabilities-3947811,1921,4001,0262,2932,7311,9833714292,8831,206670
Cash transferred in annuity reinsurance----------554---
Retirements of managed investment entities’ liabilities-668301,5601,0941361,6002,5851,9353822082,6908821,798
Issuances of managed investment entities’ liabilities-3947811,1921,4001,0262,2932,7311,9833714292,8831,206670
Net cash used in financing activities8201,9979892,0892,1013,0972,7181,7192,4441,408-123-1,957-1,361-2,031
Retirements of managed investment entities’ liabilities-668301,5601,0941361,6002,5851,9353822082,6908821,798
Net cash used in financing activities8201,9979892,0892,1013,0972,7181,7192,4441,408-123-1,957-1,361-2,031
Net Change in Cash and Cash Equivalents----------496-679-1,259353