Assurant

AIZ

98.41

+0.01

0.0%

After Hours:

98.41

0.00

0.0%

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Stock Price
Open: 98.21
Prev. Close: 98.40
Low/Hi: 97.72 - 98.83
52-Week: 85.07 - 106.99
Volumes
Equity: 271,763
90-Day Avg: 406,126
Option: 170
90-Day Avg: 146
Volatility
Todays Stock Vol: 12.8
20-Day (HV): 18.6
52-Week (HV): 18.3
30-Day IV: 18.1 -0.7
IV Pct Rank: 39% Subdued
Fundamental
Dividend: 23-Nov $0.56
Div. Yield: 2.3%
Earnings: 8-Feb (Est.)
P/E Ratio: 22.16
Market Cap: 5.3 B
Stock Info
Type: Common
Sector: Financial
Industry: Accident & Health Insurance

AIZ Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Sep-2017 30-Jun-2017 31-Mar-2017 31-Dec-2016
Net Income -57,300 120,200 143,800 31,316
Change in Working Capital 366,700 -24,500 24,200 -151
Depreciation Amortization Depletion and Accretion 0 0 0 -269,370
Deferred Taxes 0 0 0 0
Other Non-Cash Activities 0 0 0 -118,248
Total Cash from Operating Activities 366,700 -24,500 24,200 177,581
Capital Expenditures -12,300 -16,300 -14,800 -18,442
Other Investing Cash Flow -233,400 78,800 -44,000 112,798
Total Cash from Investing Activities -245,700 62,500 -58,800 94,356
Dividends and Distributions -28,800 -30,300 -29,700 -30,309
Purchase or Sale of Stock -38,200 -113,500 -105,100 -188,800
Purchase and Retirement of Debt -69,000 69,000 0 -123,031
Other Financing Cash Flow 158,600 10,200 7,100 -3,752
Total Cash from Financing Activities 22,600 -64,600 -127,700 -345,892
Exchange Rate Effects 1,000 300 4,800 -16,555
Net Change in Cash 144,600 -26,300 -157,500 -90,510
Period Ending 31-Dec-2016 31-Dec-2015 31-Dec-2014 31-Dec-2013
Net Income 565,350 141,555 470,907 488,907
Change in Working Capital -43,206 -63,356 176,867 67,120
Depreciation Amortization Depletion and Accretion -269,370 124,117 133,723 34,047
Deferred Taxes 0 -14,870 62,087 0
Other Non-Cash Activities -118,248 67,126 -449,768 -149,476
Total Cash from Operating Activities 134,526 254,572 393,816 440,598
Capital Expenditures -85,233 -114,896 -83,603 -29,635
Other Investing Cash Flow 810,854 379,189 147,492 -114,510
Total Cash from Investing Activities 725,621 264,293 63,889 -144,145
Dividends and Distributions -125,346 -94,168 -77,495 -74,128
Purchase or Sale of Stock -863,051 -292,906 -215,183 -393,012
Purchase and Retirement of Debt -123,406 -95,986 -466,550 664,459
Other Financing Cash Flow 5,610 -4,067 -16,971 -1,112
Total Cash from Financing Activities -1,106,193 -487,127 -776,199 196,207
Exchange Rate Effects -16,146 -56,231 -28,126 -49
Net Change in Cash -262,192 -24,493 -346,620 492,611