METLIFE INCMET

Market cap
$50.4B
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
Net income (loss)2,7866,9711,3623,3936,3365,3228044,0205,1285,9095,4186,5752,5581,6024,444
Other Depreciation and Amortization585679596714713693652795628630619694673718714
Amortization of premiums and accretion of discounts associated with investments, net1,0784774261676111,1411,1101,0441,0139998168559601,3321,512
(Gains) losses on investments and from sales of businesses, net-----202597171-363-298444-1101,529-1,262-2,800-1,165
(Gains) losses on derivatives, net----21-1,451-8,963-3,610207135656-4,190-4,317-3,259-2,716
(Income) loss from equity method investments, net of dividends or distributions--315-108-99-327-481-475-194-251-254-763,051-505-1,090-844
Interest Credited to Policy Owner Account-----------5,4903,7377,9708,484
Universal life and investment-type product policy fees-------7,7085,5025,6033,6643,6383,9704,0314,251
Change in contractholder-directed equity securities and fair value option securities1,369-648-1,9001,433739-784-111436-2,212139-131231-1,671539518
Change in accrued investment income206-525-219-293-207-13831280121-8-1041135719418
Change in premiums, reinsurance and other receivables--1095826508372,1259911,809514-842-389-2561,952-460
Change in market risk benefits-------------658782
Change in deferred policy acquisition costs and value of business acquired, net5411,3971,139920-1,134-491949693249463-101106568660791
Change in income tax1,2922,022-8838712,075825-1,557-2,796940233-11598-591-1,177-484
Change in other assets-1,948-2,360-2,951-1,767-2,573-2,752-3,248-691-260-426361681-27124-
Increase (Decrease) in Insurance Liabilities6,4897,0685,9186,8975,8476,3666,2798,5117,4547,8035,1124,5534,0584,6374,079
Change in other liabilities-3151,136-1,6991,0081,8851,1342,7661,603-48371-1,065713412,115-580
Other, net----101164136184-62285351138245197628
Net cash provided by (used in) operating activities7,99610,29017,16016,13116,37614,12914,82712,28311,73813,78611,63912,59613,20413,72114,598
Proceeds from Sale and Maturity of Debt Securities, Available-for-Sale--103,823117,523118,526146,732150,65895,945106,67777,82077,97988,83988,93758,81655,650
Proceeds from Sale of Equity Securities, FV-NI-----------7088731,018158
Sales, maturities and repayments of mortgage loans6,36113,48614,67312,88114,12812,64712,97710,3539,91812,83811,30019,18310,7798,50510,363
Proceeds from Real Estate and Real Estate Joint Ventures-1,2961,0183561,0123,2568269721,2271,1231201,2851,096143753
Proceeds from Limited Partnership Investments-1,1219748078231,8271,5421,0826756255977771,6159151,083
Sales, maturities and repayments of short-term investments------------14,09413,11711,841
Purchases of fixed maturity securities available-for-sale100,713116,939115,793117,826130,197148,799146,397105,683105,40187,45589,63397,36882,95663,46065,667
Purchases of equity securities-----------4511,36873112
Purchases of mortgage loans8,96714,69411,44214,67717,46420,44921,01714,37417,05917,65714,65214,96116,4038,7958,950
Purchases of real estate and real estate joint ventures7861,5341,9421,8802,2821,2981,5151,4461,1181,9621,2871,3751,2081,0571,033
Purchases of other limited partnership interests-1,1471,3231,3561,7641,4291,3131,4861,4061,6741,9793,2272,6741,6701,401
Purchases of short-term investments------------11,74114,00010,943
Cash received in connection with freestanding derivatives----1,7602,6904,2595,3153,7782,9144,8473,4534,5243,1452,288
Cash paid in connection with freestanding derivatives2,5483,4783,2586,7104,0034,2116,9638,6964,1733,7494,2477,9907,7935,6623,981
Sales of businesses-126576393436-156----3,270590--
Purchases of investments in operating joint ventures----277-39-----240-40
Net change in policy loans----27-287-1956737-5-250-228-104-34-106
Net change in other invested assets-13736791547512936267171-3405671762357861,0791,435
Other, net186169158863415945734632131-1394628143173
Net cash provided by (used in) investing activities-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
Policyholder account balances - deposits74,29691,94691,28479,19389,52092,90488,18888,51192,32792,12293,49796,367103,03695,58797,877
Policyholder account balances - withdrawals69,73987,62586,99484,87488,03794,62183,26382,38088,06185,59885,25192,54097,88690,87694,914
Net change in payables for collateral under securities loaned and other transactions3,0766,444-29-3,2765,0311,544-3,636903-8212,0193,5381,883-10,730-3,283-244
Long-term debt issued5,0901,3467501,3721,0003,893-3,657241,3821,124291,0131,9891,568
Long-term debt repaid----------99582851,0351,792
Collateral financing arrangement repaid-502349--57682,9516167148795079161
Derivatives with certain financing elements and other derivative-related transactions, net------1,367151-14412646-2706174157
Proceeds from mortgage loan secured financing-------------682285
Repayments of mortgage loan secured financing-------------845882
Treasury stock acquired in connection with share repurchases----1,0001,9303722,9273,9922,2851,1514,3033,3263,1033,207
Dividends on preferred stock122122122122122116103103141178202195185198200
Dividends on common stock7847878111,1191,4991,6531,7361,7171,6781,6431,6571,6471,5981,5661,527
Other, net-299125609-192-70019848118-145-7719122-236-139223
Net cash provided by (used in) financing activities13,3819,38235-8,9072,256-1,295-3,550-906-2,8014,56810,729-1,375-10,108-2,940-3,131
Effect of change in foreign currency exchange rates on cash and cash equivalents balances---------9163-478-397-91-545
Change in cash and cash equivalents---------7773,962-44479444-571
Net cash paid for Interest--------1,1309648919149059891,037
Income Taxes Paid, Net---6777481,1276721,5301,9351,0997871,1021,0561,8331,600
Noncash or Part Noncash Acquisition, Investments Acquired-----903985-3,0166372,0374238,7072,7493,538
Noncash Real Estate Acquired In Satisfaction Of Debt--------------359
Other invested assets received in connection with the sale of other limited partnership interests--------------375
Increase of real estate and real estate joint ventures--------------134
Increase of short-term debt--------------113