METLIFE INCMETCash flow

Market cap
$53.3B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Cash from operations 7,99610,29017,16016,13116,37614,12914,82712,28311,73813,78611,63912,59613,20413,72114,598
Cash from investing -18,314-22,235-11,929-15,165-15,055-10,398-5,850-16,876-5,634-17,586-18,569-11,187-2,620-10,246-11,493
Repurchases of common stock----1,0001,9303722,9273,9922,2851,1514,3033,3263,1033,207
Proceeds from issuance of term debt, net5,0901,3467501,3721,0003,893-3,657241,3821,124291,0131,9891,568
Repayments of term debt1,0612,0421,7021,7462,8621,4381,2791,0731,871906-----
Cash from financing 13,3819,38235-8,9072,256-1,295-3,550-906-2,8014,56810,729-1,375-10,108-2,940-3,131