AFLAC INCAFL

Market cap
$60B
P/E ratio
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
Dec 31,
2024
Consolidated Entity, Excluding Consolidated VIE-------77,23078,42986,950101,28694,20671,93669,57861,841
Variable Interest Entity, Consolidated----------4,5964,4903,8053,7123,428
Debt Securities, Available-for-Sale--------82,89591,262105,88298,69675,74173,29065,269
Fixed maturity securities, held-to-maturity-----------22,00019,05617,81915,966
Equity securities-----------1,6031,0911,088796
Commercial mortgage and other loans------------10,83210,1508,693
Variable Interest Entity, Consolidated----------8261,5351,9092,3812,176
Other investments1351681744631712941,4503,4027,7061,4772,4293,8424,0704,5305,958
Cash and cash equivalents2,1212,2492,0412,5434,6584,3504,8593,4914,3374,8965,1415,0513,9434,3066,229
Total investments and cash88,230103,462118,219108,459107,341105,897116,361123,659126,243138,091149,753142,978117,397113,560105,087
Receivables6616809761,165842705669827851828796693647848779
Accrued investment income738802842798762768754769773772780737745731710
Deferred Policy Acquisition Cost9,73410,6549,6588,7988,2738,5118,9939,5059,87510,12810,4419,5258,5939,1328,758
Property, Plant and Equipment, Net620617564481429427433434443581601538530445387
Other1,0568878351,6062,1201,9882,6092,0232,2212,3682,7153,0713,1052,0081,845
Variable Interest Entity, Consolidated--------------14,350
Total assets101,039117,102131,094121,307119,767118,296129,819137,217140,406152,768165,086157,542131,017126,724117,566
Future policy benefits72,10379,27876,46369,13665,64669,68776,10681,85786,36890,33597,78390,58880,74983,71870,381
Unpaid policy claims3,7193,9814,0343,7633,6303,8024,0454,3924,5844,6595,1874,8364,561261381
Unearned premiums1,1971,7042,15810,6428,6267,8576,9165,9595,0904,2433,5972,5761,8251,4511,286
Other Policyholder Funds5,4379,63015,2945,8616,0316,2856,6596,9397,1467,3177,8247,0726,1236,1695,460
Total policy liabilities82,45694,59397,94989,40283,93387,63193,72699,147103,188106,554114,391105,07293,25891,59977,508
Income taxes-----4,3405,3874,7454,0205,3704,6614,3391,296154573
Obligation to Return Securities Received as Collateral-----------2,1621,8091,5032,037
Debt and Lease Obligation-3,2854,3524,8975,2825,0115,3605,2895,7786,5697,8997,9567,4427,3647,498
Other2,3292,2672,6802,8504,7192,6654,3382,8322,9063,4403,6124,7604,8474,1193,852
Variable Interest Entity, Consolidated----------231414390507604
Total liabilities89,983103,596115,116106,687101,420100,588109,337112,619116,944123,809131,527124,289108,652104,73991,468
Common Stock, Value, Issued6666676767676767135135135135135136136
Additional paid-in capital1,3201,4081,5051,6441,7111,8281,9762,1202,1772,3132,4102,5292,6412,7712,894
Retained earnings14,19415,58317,38719,88522,15624,00725,98129,89531,78834,29137,98441,38144,56847,99352,277
Unrealized foreign currency translation gains (losses)9261,109333-1,505-2,541-2,196-1,983-1,750-1,847-1,623-1,109-2,013-3,640-4,069-4,998
Unrealized gains (losses) on fixed maturity securities--2,5701,0354,6722,9864,8055,9644,2348,54810,3619,602-7021,13924
Unrealized gains (losses) on derivatives------------30-27-22-20
Effect of changes in discount rate assumptions--------------2,5602,006
Pension liability adjustment12817118381126139168163212277284166368-10
Treasury stock, at average cost5,3865,6415,6966,4137,5668,81910,17211,51212,78914,39515,90418,18520,57423,39526,231
Total shareholders’ equity11,05613,50615,97814,62018,34717,70820,48224,59823,46228,95933,55933,25322,36521,98526,098
Total liabilities and shareholders’ equity101,039117,102131,094121,307119,767118,296129,819137,217140,406152,768165,086157,542131,017126,724117,566