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Prudential USD (K6S)

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  • 15.100
  • 0.0000.00%
10min DelayMarket Closed Apr 16 10:29 CST
37.81BMarket Cap9.84P/E (TTM)

K6S Prudential USD

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
Assets
-Financial assets
57.22%621M
57.22%621M
453.62%1.53B
-78.71%395M
-78.71%395M
-39.74%276M
226.01%1.86B
--1.86B
151.65%458M
18.30%569M
Long-term equity investment
14.55%2.76B
14.55%2.76B
41.33%2.52B
24.33%2.41B
24.33%2.41B
-14.29%1.78B
-14.12%1.94B
--1.94B
3.38%2.08B
-16.27%2.26B
Cash, cash equivalents and short term investments
57.51%3.85B
57.51%3.85B
-5.72%5.64B
53.77%2.45B
53.77%2.45B
0.98%5.98B
-12.11%1.59B
--1.59B
-7.72%5.92B
-74.77%1.81B
-Cash and cash equivalents
57.51%3.85B
57.51%3.85B
-5.72%5.64B
53.77%2.45B
53.77%2.45B
0.98%5.98B
-12.11%1.59B
--1.59B
-7.72%5.92B
-74.77%1.81B
Restricted cash and cash equivalents
15.87%3.86B
15.87%3.86B
----
5.25%3.33B
5.25%3.33B
----
-14.68%3.16B
--3.16B
----
7.67%3.71B
Net loan
6.58%551M
6.58%551M
-1.66%534M
-10.55%517M
-10.55%517M
-5.40%543M
-2.03%578M
--578M
-76.37%574M
-23.48%590M
-Other receivables
-14.65%1.89B
-14.65%1.89B
-2.26%3.32B
2.22%2.21B
2.22%2.21B
65.69%3.4B
10.92%2.16B
--2.16B
-37.11%2.05B
-1.06%1.95B
-Taxes receivable
148.39%77M
148.39%77M
200.00%75M
-8.82%31M
-8.82%31M
0.00%25M
88.89%34M
--34M
13.64%25M
-10.00%18M
Net PPE
27.10%530M
27.10%530M
37.69%537M
11.50%417M
11.50%417M
-1.52%390M
-14.42%374M
--374M
-2.22%396M
-11.72%437M
-Gross PP&E
5.90%1.42B
5.90%1.42B
----
9.03%1.34B
9.03%1.34B
----
1.57%1.23B
--1.23B
----
0.83%1.21B
-Accum depreciation
3.68%-889M
3.68%-889M
----
-7.95%-923M
-7.95%-923M
----
-10.61%-855M
---855M
----
-7.06%-773M
Goodwill and other intangible assets
4.02%4.86B
4.02%4.86B
5.48%4.83B
-4.30%4.67B
-4.30%4.67B
0.26%4.58B
2.26%4.88B
--4.88B
-40.10%4.57B
-3.01%4.77B
-Goodwill
6.37%902M
6.37%902M
8.55%889M
-5.36%848M
-5.36%848M
-6.83%819M
0.67%896M
--896M
0.92%879M
-1.87%890M
-Other intangible assets
3.50%3.96B
3.50%3.96B
4.82%3.94B
-4.06%3.82B
-4.06%3.82B
1.95%3.76B
2.63%3.99B
--3.99B
-45.39%3.69B
-3.26%3.88B
Total assets
16.67%212.2B
16.67%212.2B
13.99%199.12B
4.49%181.88B
4.49%181.88B
5.58%174.69B
8.62%174.07B
--174.07B
-0.86%165.46B
-14.87%160.25B
Liabilities
-Current debt and capital lease obligation
-1.33%520M
-1.33%520M
-24.24%500M
-24.61%527M
-24.61%527M
24.76%660M
39.52%699M
--699M
-2.76%529M
0.20%501M
-Including:Current debt
-1.33%520M
-1.33%520M
-24.24%500M
-24.61%527M
-24.61%527M
24.76%660M
39.52%699M
--699M
-2.76%529M
0.20%501M
Reinsurance payable balance
19.40%640M
19.40%640M
-63.02%510M
-53.43%536M
-53.43%536M
45.16%1.38B
-2.04%1.15B
--1.15B
--950M
-6.30%1.18B
Payables
-6.07%2.68B
-6.07%2.68B
18.18%273M
-29.96%2.85B
-29.96%2.85B
-6.48%231M
41.48%4.07B
--4.07B
-2.37%247M
1,453.51%2.87B
-Total tax payable
14.71%273M
14.71%273M
18.18%273M
-13.45%238M
-13.45%238M
-6.48%231M
32.21%275M
--275M
-2.37%247M
12.43%208M
-Other payable
-7.97%2.4B
-7.97%2.4B
----
-31.15%2.61B
-31.15%2.61B
----
42.20%3.79B
--3.79B
----
-43.91%2.67B
-Derivative product liabilities
-2.16%1.58B
-2.16%1.58B
116.90%924M
579.41%1.62B
579.41%1.62B
-8.78%426M
-76.22%238M
--238M
-39.43%467M
282.06%1B
-Long term debt and capital lease obligation
13.71%4.77B
13.71%4.77B
14.06%4.83B
0.48%4.2B
0.48%4.2B
0.21%4.23B
-8.74%4.18B
--4.18B
-7.74%4.22B
-34.53%4.58B
-Including:Long term debt
13.26%4.46B
13.26%4.46B
13.31%4.48B
-0.08%3.94B
-0.08%3.94B
-0.53%3.95B
-7.83%3.94B
--3.94B
-7.37%3.97B
-38.81%4.28B
-Including:Long term capital lease obligation
20.62%310M
20.62%310M
24.82%347M
9.83%257M
9.83%257M
12.10%278M
-21.74%234M
--234M
-13.29%248M
-13.83%299M
Long term provisions
22.94%268M
22.94%268M
14.60%157M
-2.68%218M
-2.68%218M
6.20%137M
8.74%224M
--224M
-42.67%129M
-11.97%206M
-Non current accrued expenses
38.24%329M
38.24%329M
54.20%5.24B
-2.46%238M
-2.46%238M
49.10%3.4B
22.00%244M
--244M
-71.90%2.28B
-92.38%200M
Other liabilities
1.93%3.01B
1.93%3.01B
-14.30%3B
-13.89%2.95B
-13.89%2.95B
5.97%3.5B
-28.23%3.43B
--3.43B
-38.29%3.3B
-18.89%4.78B
Total liabilities
16.93%190.84B
16.93%190.84B
14.11%179.68B
4.56%163.2B
4.56%163.2B
6.28%157.45B
8.88%156.08B
--156.08B
-1.64%148.15B
-15.24%143.35B
Shareholders'equity
Share capital
-3.98%169M
-3.98%169M
-6.56%171M
-3.83%176M
-3.83%176M
0.00%183M
0.55%183M
--183M
0.55%183M
0.00%182M
-common stock
-3.98%169M
-3.98%169M
-6.56%171M
-3.83%176M
-3.83%176M
0.00%183M
0.55%183M
--183M
0.55%183M
0.00%182M
Paid-in capital
0.18%5.03B
0.18%5.03B
0.24%5.02B
0.14%5.02B
0.14%5.02B
0.00%5.01B
0.06%5.01B
--5.01B
-0.02%5.01B
-0.08%5.01B
Retained earnings
18.31%14.09B
18.31%14.09B
13.16%12.05B
-0.18%11.91B
-0.18%11.91B
-5.96%10.65B
11.97%11.93B
--11.93B
13.28%11.33B
-11.70%10.65B
Total stockholders'equity
15.01%20.12B
15.01%20.12B
12.05%18.12B
-1.86%17.49B
-1.86%17.49B
-5.76%16.17B
6.53%17.82B
--17.82B
6.52%17.16B
-11.64%16.73B
Noncontrolling interests
5.16%1.24B
5.16%1.24B
24.41%1.33B
638.75%1.18B
638.75%1.18B
600.66%1.07B
-4.19%160M
--160M
-6.75%152M
-4.57%167M
Total equity
14.38%21.36B
14.38%21.36B
12.81%19.44B
3.84%18.67B
3.84%18.67B
-0.43%17.24B
6.42%17.98B
--17.98B
6.39%17.31B
-11.58%16.9B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022
Assets
-Financial assets 57.22%621M57.22%621M453.62%1.53B-78.71%395M-78.71%395M-39.74%276M226.01%1.86B--1.86B151.65%458M18.30%569M
Long-term equity investment 14.55%2.76B14.55%2.76B41.33%2.52B24.33%2.41B24.33%2.41B-14.29%1.78B-14.12%1.94B--1.94B3.38%2.08B-16.27%2.26B
Cash, cash equivalents and short term investments 57.51%3.85B57.51%3.85B-5.72%5.64B53.77%2.45B53.77%2.45B0.98%5.98B-12.11%1.59B--1.59B-7.72%5.92B-74.77%1.81B
-Cash and cash equivalents 57.51%3.85B57.51%3.85B-5.72%5.64B53.77%2.45B53.77%2.45B0.98%5.98B-12.11%1.59B--1.59B-7.72%5.92B-74.77%1.81B
Restricted cash and cash equivalents 15.87%3.86B15.87%3.86B----5.25%3.33B5.25%3.33B-----14.68%3.16B--3.16B----7.67%3.71B
Net loan 6.58%551M6.58%551M-1.66%534M-10.55%517M-10.55%517M-5.40%543M-2.03%578M--578M-76.37%574M-23.48%590M
-Other receivables -14.65%1.89B-14.65%1.89B-2.26%3.32B2.22%2.21B2.22%2.21B65.69%3.4B10.92%2.16B--2.16B-37.11%2.05B-1.06%1.95B
-Taxes receivable 148.39%77M148.39%77M200.00%75M-8.82%31M-8.82%31M0.00%25M88.89%34M--34M13.64%25M-10.00%18M
Net PPE 27.10%530M27.10%530M37.69%537M11.50%417M11.50%417M-1.52%390M-14.42%374M--374M-2.22%396M-11.72%437M
-Gross PP&E 5.90%1.42B5.90%1.42B----9.03%1.34B9.03%1.34B----1.57%1.23B--1.23B----0.83%1.21B
-Accum depreciation 3.68%-889M3.68%-889M-----7.95%-923M-7.95%-923M-----10.61%-855M---855M-----7.06%-773M
Goodwill and other intangible assets 4.02%4.86B4.02%4.86B5.48%4.83B-4.30%4.67B-4.30%4.67B0.26%4.58B2.26%4.88B--4.88B-40.10%4.57B-3.01%4.77B
-Goodwill 6.37%902M6.37%902M8.55%889M-5.36%848M-5.36%848M-6.83%819M0.67%896M--896M0.92%879M-1.87%890M
-Other intangible assets 3.50%3.96B3.50%3.96B4.82%3.94B-4.06%3.82B-4.06%3.82B1.95%3.76B2.63%3.99B--3.99B-45.39%3.69B-3.26%3.88B
Total assets 16.67%212.2B16.67%212.2B13.99%199.12B4.49%181.88B4.49%181.88B5.58%174.69B8.62%174.07B--174.07B-0.86%165.46B-14.87%160.25B
Liabilities
-Current debt and capital lease obligation -1.33%520M-1.33%520M-24.24%500M-24.61%527M-24.61%527M24.76%660M39.52%699M--699M-2.76%529M0.20%501M
-Including:Current debt -1.33%520M-1.33%520M-24.24%500M-24.61%527M-24.61%527M24.76%660M39.52%699M--699M-2.76%529M0.20%501M
Reinsurance payable balance 19.40%640M19.40%640M-63.02%510M-53.43%536M-53.43%536M45.16%1.38B-2.04%1.15B--1.15B--950M-6.30%1.18B
Payables -6.07%2.68B-6.07%2.68B18.18%273M-29.96%2.85B-29.96%2.85B-6.48%231M41.48%4.07B--4.07B-2.37%247M1,453.51%2.87B
-Total tax payable 14.71%273M14.71%273M18.18%273M-13.45%238M-13.45%238M-6.48%231M32.21%275M--275M-2.37%247M12.43%208M
-Other payable -7.97%2.4B-7.97%2.4B-----31.15%2.61B-31.15%2.61B----42.20%3.79B--3.79B-----43.91%2.67B
-Derivative product liabilities -2.16%1.58B-2.16%1.58B116.90%924M579.41%1.62B579.41%1.62B-8.78%426M-76.22%238M--238M-39.43%467M282.06%1B
-Long term debt and capital lease obligation 13.71%4.77B13.71%4.77B14.06%4.83B0.48%4.2B0.48%4.2B0.21%4.23B-8.74%4.18B--4.18B-7.74%4.22B-34.53%4.58B
-Including:Long term debt 13.26%4.46B13.26%4.46B13.31%4.48B-0.08%3.94B-0.08%3.94B-0.53%3.95B-7.83%3.94B--3.94B-7.37%3.97B-38.81%4.28B
-Including:Long term capital lease obligation 20.62%310M20.62%310M24.82%347M9.83%257M9.83%257M12.10%278M-21.74%234M--234M-13.29%248M-13.83%299M
Long term provisions 22.94%268M22.94%268M14.60%157M-2.68%218M-2.68%218M6.20%137M8.74%224M--224M-42.67%129M-11.97%206M
-Non current accrued expenses 38.24%329M38.24%329M54.20%5.24B-2.46%238M-2.46%238M49.10%3.4B22.00%244M--244M-71.90%2.28B-92.38%200M
Other liabilities 1.93%3.01B1.93%3.01B-14.30%3B-13.89%2.95B-13.89%2.95B5.97%3.5B-28.23%3.43B--3.43B-38.29%3.3B-18.89%4.78B
Total liabilities 16.93%190.84B16.93%190.84B14.11%179.68B4.56%163.2B4.56%163.2B6.28%157.45B8.88%156.08B--156.08B-1.64%148.15B-15.24%143.35B
Shareholders'equity
Share capital -3.98%169M-3.98%169M-6.56%171M-3.83%176M-3.83%176M0.00%183M0.55%183M--183M0.55%183M0.00%182M
-common stock -3.98%169M-3.98%169M-6.56%171M-3.83%176M-3.83%176M0.00%183M0.55%183M--183M0.55%183M0.00%182M
Paid-in capital 0.18%5.03B0.18%5.03B0.24%5.02B0.14%5.02B0.14%5.02B0.00%5.01B0.06%5.01B--5.01B-0.02%5.01B-0.08%5.01B
Retained earnings 18.31%14.09B18.31%14.09B13.16%12.05B-0.18%11.91B-0.18%11.91B-5.96%10.65B11.97%11.93B--11.93B13.28%11.33B-11.70%10.65B
Total stockholders'equity 15.01%20.12B15.01%20.12B12.05%18.12B-1.86%17.49B-1.86%17.49B-5.76%16.17B6.53%17.82B--17.82B6.52%17.16B-11.64%16.73B
Noncontrolling interests 5.16%1.24B5.16%1.24B24.41%1.33B638.75%1.18B638.75%1.18B600.66%1.07B-4.19%160M--160M-6.75%152M-4.57%167M
Total equity 14.38%21.36B14.38%21.36B12.81%19.44B3.84%18.67B3.84%18.67B-0.43%17.24B6.42%17.98B--17.98B6.39%17.31B-11.58%16.9B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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