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Cash Flow Overview

Change in Cash
$2,414M
Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Deposits on investment-type poli...
    • Available-for-sale securities (r...
    • Mortgage loans
    • Others
Negative Cash Flow Breakdown
    • Available-for-sale securities (r...
    • Withdrawals on investment-type p...
    • Mortgage loans (related party 20...
    • Others

Cash Flow
2026-03-31
2025-12-31
2025-09-30
Net income (loss)
-1,482 4,221 NaN
Deferred policy acquisition costs and present value of future insurance profits, amortization
337 1,242 NaN
Net accretion of net investment premiums, discounts and other
65 202 NaN
Gain on recapture of reinsurance agreements, net of cash received
NaN 0 NaN
Income (loss) from equity method investments, net of dividends or distributions
162 228 NaN
Net recognized gains on investments and derivatives (related party 2026 (376) and 2025 (681))
376 NaN NaN
Net recognized gains on investments and derivatives (related party 2026 (376) and 2025 (681))
-1,472 3,390 NaN
Policy acquisition costs deferred
364 1,876 NaN
Accrued investment income
206 579 NaN
Interest sensitive contract liabilities
247 7,678 NaN
Future policy benefits, market risk benefits and reinsurance recoverable (related party 2026 (28) and 2025 102)
-28 NaN NaN
Future policy benefits, market risk benefits and reinsurance recoverable (related party 2026 (28) and 2025 102)
-256 -363 NaN
Funds withheld assets (related party 2026 10 and 2025 (82))
-10 NaN NaN
Funds withheld assets (related party 2026 10 and 2025 (82))
35 1,560 NaN
Other assets and liabilities
-1,349 -217 NaN
Net cash provided by operating activities
835 3,042 2,118
Available-for-sale securities (related party 2026 3,243 and 2025 1,142)
-1,008 NaN 4,251
Available-for-sale securities (related party 2026 3,243 and 2025 1,142)
15,026 22,400 43,678
Trading securities (related party 2026 68 and 2025 108)
-262 NaN 330
Trading securities (related party 2026 68 and 2025 108)
1,165 1,002 1,784
Equity securities (related party 2025 0 and 2024 62)-Affiliated Entity
NaN NaN 0
Proceedsfromsaleofequitysecurities
52 237 459
Mortgage loans (related party 2025 484 and 2024 63)-Affiliated Entity
NaN NaN 484
Mortgage loans
4,797 5,502 9,882
Investment funds (related party 2026 307 and 2025 37)
-37 NaN 344
Investment funds (related party 2026 307 and 2025 37)
415 968 845
Proceeds From
1,278 1,350 2,658
Short-term investments (related party 2026 13 and 2025 157)
-954 NaN 967
Short-term investments (related party 2026 13 and 2025 157)
52 493 1,378
Available-for-sale securities (related party 2026 (6,408) and 2025 (2,219))
-2,752 NaN 9,160
Available-for-sale securities (related party 2026 (6,408) and 2025 (2,219))
18,204 22,588 71,351
Trading securities (related party 2026 (975) and 2025 (80))
570 NaN 405
Trading securities (related party 2026 (975) and 2025 (80))
2,500 1,820 5,389
Paymentstoacquireequitysecurities
0 11 376
Mortgage loans (related party 2026 (121) and 2025 0)
121 NaN NaN
Mortgage loans (related party 2026 (121) and 2025 0)
6,634 15,429 25,977
Investment funds (related party 2026 (2,122) and 2025 (538))
-5 NaN 2,127
Investment funds (related party 2026 (2,122) and 2025 (538))
2,309 1,805 2,137
Payments For
1,160 1,205 4,973
Short-term investments (related party 2026 (13) and 2025 (198))
-228 NaN 241
Short-term investments (related party 2026 (13) and 2025 (198))
16 1,378 394
Consolidation of new variable interest entities
NaN 18 NaN
Deconsolidation of previously consolidated entities
NaN 37 NaN
Other investing activities, net
-162 1,198 391
Net cash used in investing activities
-7,876 -13,501 -50,304
Deposits on investment-type policies and contracts
19,652 11,914 69,269
Withdrawals on investment-type policies and contracts (related party 2026 (60) and 2025 (79))
7,831 5,836 16,821
Proceeds from debt
NaN 0 1,591
Capital contributions from parent
NaN 27 211
Capital contributions from noncontrolling interests-Consolidated Entity Excluding Variable Interest Entities VIE
126 182 284
Capital contributions from noncontrolling interests-Variable Interest Entity Primary Beneficiary
604 361 1,641
Capital distributions to noncontrolling interests-Consolidated Entity Excluding Variable Interest Entities VIE
254 190 254
Subsidiary issuance of equity interests to noncontrolling interests-Consolidated Entity Excluding VIEPrimary Beneficiary
NaN 0 NaN
Net change in cash collateral posted for derivative transactions and securities to repurchase
2,556 -2,926 2,586
Preferred stock dividends
35 35 126
Common stock dividends
188 189 563
Redemption of preferred stock
NaN 0 600
Other financing activities, net
-62 236 -166
Net cash provided by financing activities
9,456 9,396 51,880
Effect of exchange rate changes on cash and cash equivalents
-1 -8 13
Net increase (decrease) in cash and cash equivalents
2,414 -1,071 3,707
Cash and cash equivalents at beginning of year
16,895 17,966 14,259
Cash and cash equivalents at end of period
19,309 16,895 17,966
Unit: Million (M) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Deposits oninvestment-type policies and...$19,652M Net recognizedgains on investments...-$1,472M Capital contributionsfrom noncontrolling...$604M Capital contributionsfrom noncontrolling...$126M Other assets andliabilities-$1,349M something is missing$394M Deferred policyacquisition costs and...$337M Interest sensitivecontract liabilities$247M Funds withheld assets(related party 2026 10 and...-$10M Net cash provided byfinancing activities$9,456M Net cash provided byoperating activities$835M Canceled cashflow$10,926M Canceled cashflow$2,974M Net increase(decrease) in cash and cash...$2,414M Canceled cashflow$7,877M Withdrawals oninvestment-type policies and...$7,831M Net change in cashcollateral posted for...$2,556M Capital distributionsto noncontrolling...$254M Common stock dividends$188M Other financingactivities, net-$62M Preferred stock dividends$35M Available-for-sale securities(related party 2026 3,243...$15,026M Mortgage loans$4,797M Available-for-sale securities(related party 2026 ...-$2,752M Proceeds From$1,278M Trading securities(related party 2026 68 and...$1,165M Investment funds (relatedparty 2026 307 and 2025 ...$415M Short-term investments(related party 2026 (13)...-$228M Other investingactivities, net-$162M Short-term investments(related party 2026 13 and...$52M Proceedsfromsaleofequitysecurities$52M Investment funds (relatedparty 2026 (2,122) and...-$5M Net income (loss)-$1,482M Net recognizedgains on investments...$376M Policy acquisitioncosts deferred$364M Future policybenefits, market risk...-$256M Accrued investmentincome$206M Income (loss) fromequity method...$162M Net accretion of netinvestment premiums,...$65M Funds withheld assets(related party 2026 10 and...$35M Future policybenefits, market risk...-$28M Net cash used ininvesting activities-$7,876M Effect of exchange ratechanges on cash and cash...-$1M Canceled cashflow$25,932M Available-for-sale securities(related party 2026 ...$18,204M Mortgage loans (relatedparty 2026 (121) and...$6,634M Trading securities(related party 2026 (975)...$2,500M Investment funds (relatedparty 2026 (2,122) and...$2,309M Payments For$1,160M Available-for-sale securities(related party 2026 3,243...-$1,008M Short-term investments(related party 2026 13 and...-$954M Trading securities(related party 2026 (975)...$570M Trading securities(related party 2026 68 and...-$262M Mortgage loans (relatedparty 2026 (121) and...$121M Investment funds (relatedparty 2026 307 and 2025 ...-$37M Short-term investments(related party 2026 (13)...$16M

Athene Holding Ltd. (ATH-PE)

Athene Holding Ltd. (ATH-PE)