Principal Financial Group Inc (PFG)

72.31 -0.02 (-0.03%)
Closed USD Disclaimer
72.31 0.00 (0.00%)

PFG Balance Sheet

Total Current Assets
Name
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
33,646.20 33,890.50 33,401.10 7,210.50 6,252.10
292,239.60 282,580.60 293,220.20 291,538.50 304,657.20
Cash - - - - -
Cash & Equivalents 4,848 4,239.60 3,173.10 2,741.20 2,332
Total Receivables, Net 4,938 4,920.20 5,265.80 3,045.10 1,268.70
Prepaid Expenses - - - - -
Property/Plant/Equipment, Total - Net 996.10 1,006.10 993.30 1,020.20 1,038
Property/Plant/Equipment, Total - Gross - - - - -
Accumulated Depreciation, Total - - - - -
Goodwill, Net 1,598.20 1,548.30 1,588.50 1,661.30 1,627.60
Intangibles, Net 1,533.30 1,524.60 1,546 1,601 1,600.60
Long Term Investments 68,576.30 68,678.50 73,493.70 78,377.40 84,000.90
Insurance Receivables 4,273.60 4,336.60 4,683.90 2,374.40 646.10
Note Receivable - Long Term 664.40 583.60 581.90 670.70 622.60
Other Long Term Assets, Total 159,583.20 149,528.50 156,612.10 176,054.20 185,759.10
Deferred Policy Acquisition Costs 4,686.90 4,834 4,340.30 4,102.70 3,757.50
Other Assets, Total 40,541.60 41,380.60 40,941.60 19,890.30 22,004.10
24,414.70 24,259.60 25,936.70 3,348.30 3,370.90
281,934.80 272,837.20 281,873.10 279,279 288,198.90
Accounts Payable 2,833.10 2,788.40 2,750 2,703.80 2,659.40
Payable/Accrued - - - - -
Accrued Expenses - - - - -
Policy Liabilities 244,069.60 239,053.40 244,941.70 262,103.90 270,606.20
Notes Payable/Short Term Debt 80.70 66.50 66.90 279.40 79.80
Current Port. of LT Debt/Capital Leases 956.40 606.50 455.60 201.30 422.20
Other Current liabilities, Total 20,544.50 20,798.20 22,664.20 163.80 209.50
Total Long Term Debt 3,719.80 3,981 4,280.70 4,280.40 4,040.40
Long Term Debt 3,671.80 3,981 4,280.70 4,280.40 3,978.40
Capital Lease Obligations 48 62 - - -
Deferred Income Tax 1,206.80 1,079.30 1,421.80 1,373.90 2,320.20
Minority Interest 303.10 297.20 310.30 361.90 388.90
Other Liabilities, Total 8,140.10 4,100.20 4,915 7,531.20 7,448.10
10,304.80 9,743.40 11,347.10 12,259.50 16,458.30
Redeemable Preferred Stock, Total - - - - -
Preferred Stock - Non Redeemable, Net - - - - -
Common Stock, Total 4.90 4.90 4.90 4.90 4.80
Additional Paid-In Capital 10,740.40 10,637.50 10,553.50 10,402.40 10,495
Retained Earnings (Accumulated Deficit) 17,042.30 17,210.90 15,985.60 13,090.80 12,884.50
Treasury Stock - Common -10,586.90 -10,336.50 -9,877.10 -9,679.90 -8,925.80
ESOP Debt Guarantee - - - - -
Unrealized Gain (Loss) -206.50 3,467.40 - - -
Other Equity, Total -6,895.90 -7,773.40 -5,319.80 -1,558.70 1,999.80
292,239.60 282,580.60 293,220.20 291,538.50 304,657.20
243.50 244.90 249.90 252.20 261.70
- - - - -

* In Millions of USD (except for per share items)

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