$175.60
$0.00 (0.00%)
End-of-day quote: 05/17/2024
NYSE:AIZ

Assurant Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$11.13B $10.19B $10.19B $9.59B $9.41B $8.00B $6.42B $7.50B $10.31B $10.38B $9.05B $8.51B $8.27B $8.53B $8.70B $8.60B $8.45B $8.00B $7.50B $7.42B
GM % Gross Margin %
10.46% 7.01% 10.78% 9.73% 9.16% 9.60% 11.03% 17.68% 12.12% 17.39% 19.90% 20.15% 19.20% 22.33% 20.73% 18.30% 24.38% 26.09% 9.56% 8.14%
OM Operating Margin
8.53% 5.10% 8.99% 7.25% 6.52% 5.73% 7.70% 12.21% 2.32% 7.73% 9.59% 9.61% 9.27% 11.42% 9.81% 7.26% 12.68% 13.59% 9.56% 8.14%
EPS Earnings Per Share
$0.00 $15.49 $11.13 $9.36 $8.63 $8.55 $5.80 $3.98 $4.47 $6.58 $6.00 $6.01 $5.27 $4.55 $5.02 $4.28 $5.36 $5.72 $4.68 $3.75 $2.50
Div. Dividends
$2.82 $2.74 $2.66 $2.55 $2.43 $2.28 $2.15 $2.03 $1.37 $1.06 $0.96 $0.81 $0.70 $0.63 $0.59 $0.54 $0.46 $0.38 $0.31 $0.21
PR % Payout Ratio %
18.21% 24.62% 28.42% 29.55% 28.42% 39.31% 54.02% 45.41% 20.82% 17.67% 15.97% 15.37% 15.38% 12.55% 13.79% 10.07% 8.04% 8.12% 8.27% 8.40%
Sha. Shares
51.96m 52.83m 55.75m 57.97m 59.95m 61.91m 52.42m 55.94m 65.85m 69.3m 71.83m 78.66m 88.52m 102m 116.65m 117.37m 117.81m 122.77m 130.72m 139.77m
OCF Operating Cash Flow
$1.14B $596.90M $781.70M $1.34B $1.41B $656.70M $530.40M $108.60M $229.90M $393.82M $1.03B $679.70M $855.30M $540.74M $269.93M $999.14M $1.20B $920.26M $906.31M $814.95M
FCF Free Cash Flow
$935.60M $410.60M $594.30M $1.22B $1.30B $573.90M $468.30M $23.40M $115.00M $310.22M $975.23M $623.24M $819.55M $489.53M $214.04M $943.07M $1.14B $845.55M $850.25M $754.68M
FCFS Free Cash Flow Per Share
$17.50 $7.55 $9.97 $20.00 $20.74 $9.45 $8.52 $0.38 $1.69 $4.30 $12.72 $7.40 $8.48 $4.42 $1.81 $7.99 $9.55 $6.67 $6.26 $5.45