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PRUPrudential Financial, Inc.
$114.28$39.7B
Overview & Verdict
Overview
Valuation & Forecasts
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HomeStocksPRUQuarterly Balance Sheet

Prudential Financial, Inc. (PRU) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Prudential Financial, Inc. (PRU) quarterly balance sheet — complete assets, liabilities & equity history

PRU Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Total Assets765.4M773.74B776.3B758.95B739.26B735.59B760.29B715.2B725.82B721.21B681.25B697.3B709.27B689.03B677.76B695.6B878.07B937.58B932.58B926.46B
Asset Growth %-99.9%5.19%2.11%6.12%1.85%1.99%11.6%2.57%2.33%4.67%0.52%0.25%-19.22%-26.51%-27.32%-24.92%-3.22%-0.33%2.3%1.21%
Total Investment Assets01000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Long-Term Investments0396.01B369.68B360.41B350.4B346.29B371.23B338.03B345.33B342.53B317.5B336.19B343.77B329.55B314.79B327.44B366.1B401.31B396.9B405.55B
Short-Term Investments06.41B53.93B54.31B54.86B47.9B47.9B46.22B48.08B321.33B40.67B42.69B44.67B312.31B301.02B313.48B349.55B379.07B377.99B389.31B
Total Current Assets59.15B26.13B000000000000000000
Cash & Equivalents15.94B19.71B17.47B16.64B16.06B18.5B20.2B17.11B18.73B19.42B16.89B14.65B17.43B17.25B20.1B14.36B14.09B12.89B15.61B15.14B
Receivables43.21B47.99B45.19B44.99B44.28B38.55B30.11B28.6B28.89B28.25B1.11B803M018.99B3.83B696M0000
Other Current Assets0-47.99B-116.58B-115.94B-115.2B-104.94B-98.2B-91.94B-95.7B-369B-58.67B-58.15B-62.1B-348.55B-324.96B-328.54B-363.63B-391.96B-393.59B-404.45B
Goodwill & Intangibles023.41B430M450M446M1.89B488M446M484M2.11B514M542M601M2.02B532M571M714M3.19B815M1.06B
Goodwill01.09B0001.05B0001.07B000876M0001.8B00
Intangible Assets022.32B430M450M446M841M488M446M484M1.04B514M542M601M1.14B532M571M714M1.39B815M1.06B
PP&E (Net)00000000000000000000
Other Assets0-419.42B-370.11B-360.86B-350.84B-348.19B-371.72B-338.48B-345.82B-344.63B-318.01B-336.73B-344.37B-331.57B-315.32B-328.01B-366.82B-404.51B-397.72B-406.61B
Total Liabilities730.47B738.16B741.49B725.84B707.04B705.46B727.72B685.09B696.41B691.34B654.31B667.85B676.82B657.11B660.58B666.68B833.39B874.97B870.02B862.78B
Total Debt19.83B33.28B22.05B21.78B22.39B21.57B21.48B21.11B21.09B20.87B20.28B20.04B21.57B21.06B20.88B20.4B20.49B19.62B19.88B20.86B
Net Debt3.89B13.57B4.58B5.14B6.33B3.07B1.28B4B2.35B1.46B3.39B5.39B4.15B3.81B779M6.04B6.41B6.73B4.27B5.72B
Long-Term Debt18.88B21.83B20.41B20.15B20.73B20.36B20.28B20.27B20.25B20B19.44B19.05B20.57B19.98B19.82B19.54B19.65B18.6B18.67B19.65B
Short-Term Debt946M11.13B1.64B1.63B1.66B1.21B1.21B843M840M873M845M993M1B1.07B1.07B858M844M1.02B1.21B1.21B
Total Current Liabilities20.47B0000000000000000000
Accounts Payable018.84B17.87B17.13B17.35B17.08B17.44B15.6B15.75B15.73B0005.73B000000
Deferred Revenue00000000000000000000
Other Current Liabilities19.52B-49.55B-20.93B-19.71B-19.92B-19.01B-20.74B-17.19B-17.7B-18.08B-1.5B-2.05B-3.01B-7.78B-1.73B-3.11B-10.93B-19.27B-20.2B-19.96B
Deferred Taxes00000000000000000000
Other Liabilities691.12B714.02B-36.31B-35.94B-36.31B-35.55B-35.73B-35.19B-35.25B-35.02B-34.03B-33.48B-35.38B-34.34B-19.82B-19.54B-19.65B-96.38B-18.67B-19.65B
Total Equity31.98B35.58B34.81B33.12B32.22B30.13B32.58B30.11B29.41B29.88B26.95B29.45B32.45B31.92B17.18B28.92B44.68B62.61B62.56B63.68B
Equity Growth %-0.77%18.11%6.88%10%9.55%0.84%20.89%2.21%-9.35%-6.4%56.85%1.86%-27.38%-49.02%-72.54%-54.59%-23.99%-8.21%-6.47%-4.25%
Shareholders Equity2.61B32.44B32.09B30.58B29.88B27.87B30.42B28.01B27.21B27.82B25.81B28.43B31.39B30.59B16.5B28.23B43.98B61.88B61.89B63.05B
Minority Interest2.61B3.14B2.72B2.53B2.34B2.25B2.16B2.09B2.21B2.06B1.13B1.02B1.06B1.33B678M683M700M732M672M636M
Retained Earnings34.93B34.83B34.41B33.46B33.41B33.19B33.71B33.74B33.01B32.35B31.49B32.76B32.71B31.71B34.4B35.14B36.16B36.65B35.89B34.81B
Common Stock6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M6M
Accumulated OCI-3.45B-3.08B-3.17B-3.92B-4.74B-6.71B-4.84B-7.44B-7.66B-6.5B-7.83B-6.65B-3.83B-3.81B-20.87B-10.18B4.21B21.32B21.84B23.28B
Return on Equity (ROE)1.79%2.57%4.21%1.63%2.27%-0.18%1.43%4.03%3.84%4.64%-2.84%1.65%4.54%-2.27%-0.4%-2.74%-0.92%1.93%2.42%3.52%
Return on Assets (ROA)0.16%0.12%0.19%0.07%0.1%-0.01%0.06%0.17%0.16%0.19%-0.12%0.07%0.21%-0.08%-0.01%-0.13%-0.05%0.13%0.16%0.24%
Equity / Assets4177.55%4.6%4.48%4.36%4.36%4.1%4.28%4.21%4.05%4.14%3.96%4.22%4.57%4.63%2.53%4.16%5.09%6.68%6.71%6.87%
Debt / Equity0.62x0.94x0.63x0.66x0.69x0.72x0.66x0.70x0.72x0.70x0.75x0.68x0.66x0.66x1.22x0.71x0.46x0.31x0.32x0.33x
Book Value per Share91.51101.6898.6393.3190.4984.3290.8183.5181.5982.7674.3280.2888.2486.8346.3177.24118.79164.37161.73161.59
Tangible BV per Share91.5134.7997.4192.0489.2379.0189.4582.2780.2576.9272.9078.8086.6181.3544.8775.71116.89155.98159.63158.91