American National Group Inc.ANG-PD

Market cap
$4.5B
P/E ratio
21.1x
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
Net income-----------1,221212680
Other policy revenue--104119136174200224240251243230315657
Accretion on investments15470-7158-1-15-19-26-57-20-3-3472
Amortization of deferred policy acquisition costs, deferred sales inducements and value of business acquired-------------939
Deferral of policy acquisition costs-----5434073884232553081995761,199
Losses (gains) on investments and derivatives-------------271
Provisions for credit losses (reversals)-------------107
Income from real estate partnerships, investment funds and corporations-------------340
Distributions from real estate partnerships, investment funds and corporations-------------390
Interest Credited to Policy Owner Account-------------2,144
Change in fair value of embedded derivatives105-287-134-32465-543-9201,389-1,4541,2873582,353-1,144-399
Depreciation and amortization----5443456149107
Deferred income taxes--------------103
Insurance-related liabilities7626152513-0-0-4----1,373
Premiums due and other receivables--------------47
Funds withheld for reinsurance liabilities-------------452
Reinsurance recoverables and deposit assets------724-91-4313,187187--1,230
Accrued investment income61334025363631404-754753-39140
Working capital and other-0179161414137-113222101,260
Cash flows provided by operating activities2787848637085051,4141,922433,3511,3054,2332,0443,9402,522
Acquisition of subsidiary, net of cash acquired--------------8,015
Disposition of subsidiary, net of cash disposed-------------653
Fixed maturity, available-for-sale5,3488,2677,9625,1927,2566,8845,0276,8525,5092,4299,2078,8954,7548,709
Equity securities-------------490
Mortgage loans on real estate4823875063284554295355757991,1222,3873,0922,2331,879
Private loans-------------2,455
Real estate and real estate partnerships-------------296
Investment funds-------------315
Short-term investments-------------14,591
Other invested assets788729731312306856111061,5121,8433,09789
Fixed maturity, available-for-sale-------------5,683
Equity securities-------------21
Mortgage loans on real estate2075435394544683843512982943798631,9161,5352,191
Private loans-------------845
Real estate and real estate partnerships-------------333
Investment funds-------------393
Short-term investments-------------12,603
Other invested assets-34242317141135847343697392,46658
Purchases of derivatives396380419492589602691865823730748790951605
Proceeds from sales and maturities of derivatives-------------1,292
Purchase of intangibles and property and equipment-------------38
Proceeds from Sale of Productive Assets-------------35
Distributions from equity accounted investments-------------7
Change in collateral held for derivatives-------------78
Other, net-------------64
Cash flows provided by (used in) investing activities-3,606-2,129-3,879-2,948-5,577-4,499-2,592-2,408-3,0555,135-6,224-2,4554,4952,520
Issuance of common equity56321411214014102338525420-
Dividends paid to stockholders-913----------33
Repayment of borrowings to related parties-------------239
Borrowings from external parties-------------2,500
Repayment of borrowings to external parties------100----48887
Repayment of borrowings issued to reinsurance entities-------------201
Policyholders’ account deposits-------------10,866
Policyholders’ account withdrawals-------------8,753
Debt issuance costs-------------4
Payment related to recapture of reinsurance agreement-------------114
Proceeds from Other Equity-------------42
Distributions to noncontrolling interest-------------81
Cash flows provided by financing activities3,1352,2092,6462,0444,7693,4781,3121,2751,652363-2,595-2,179-5823,096
Net change during the period---------6,802-4,587-2,5897,8538,138
Income Taxes Paid, Net----------16657386
Cash interest paid--------4331303650153
Noncash or Part Noncash Acquisition, Investments Acquired-------------1,629
Noncash Deposit On Reinsurance-------------3,394
Transfer of invested assets-------------1,803