PRUDENTIAL PLC Financial Summary

Complete Filing Data

PRUDENTIAL PLC reported Cash And Cash Equivalents of $7.71 billion for FY2025.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean PRUDENTIAL PLC did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Share Of Profit Loss Of Continuing Operations Of Associates And Joint Ventures Accounted For Using Equity Method$364.0M$477.0M-$91.0M-$85.0M$352.0M$517.0M$397.0M$319.0M$233.0M$182.0M
Profit Loss Before Tax Attributable To Shareholders$4.94B$2.95B$2.10B-$643.0M$2.68B$2.91B$2.65B$3.45B$2.59B$2.28B
Profit Loss Before Tax$5.12B$3.24B$2.27B-$519.0M$3.02B$3.18B$3.02B$3.56B$2.91B$3.21B
Profit Loss$4.12B$2.42B$1.71B-$997.0M-$2.81B$2.19B$792.0M$4.02B$3.08B$1.92B
Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax$558.0M-$291.0M-$135.0M-$800.0M$70.0M$233.0M$137.0M-$1.48B$671.0M$1.19B
Income Tax Expense Continuing Operations Attributable To Shareholders$822.0M$538.0M$385.0M$354.0M$462.0M$440.0M$316.0M$569.0M$840.0M$354.0M
Income Tax Expense Continuing Operations Attributable To Policyholders Returns$180.0M$286.0M$175.0M$124.0M$342.0M$271.0M$365.0M$107.0M$321.0M$937.0M
Income Tax Expense Continuing Operations$1.00B$824.0M$560.0M$478.0M$804.0M$711.0M$681.0M$676.0M$1.16B$1.29B
Comprehensive Income$4.68B$2.12B$1.59B-$1.80B-$4.78B$2.71B$6.39B$1.96B$4.81B$3.02B
Revenue From Insurance Contracts Issued Without Reduction For Reinsurance Held$23.34B$24.22B$23.50B$23.86B$45.61B$39.80B$38.98B
Revenue From Insurance Contracts Issued Reduction For Reinsurance Held$1.94B$1.84B$1.63B$1.12B$1.18B$1.30B$2.02B
Revenue And Operating Income-$8.22B$26.50B$36.25B$38.34B$35.85B$75.39B$71.72B
Comprehensive Income Attributable To Noncontrolling Interests$256.0M$148.0M$0.00-$1.0M-$778.0M$53.0M$11.0M$5.0M$1.0M
Profit Loss Attributable To Owners Of Parent$3.98B$2.29B$1.70B-$1.01B-$2.04B$2.12B$783.0M$3.01B$2.39B$1.92B
Income Taxes Paid Refund Classified As Operating Activities$518.0M$549.0M$406.0M$449.0M$453.0M$551.0M$322.0M$477.0M$611.0M$950.0M
Comprehensive Income Attributable To Owners Of Parent$4.42B$1.98B$1.59B-$1.80B-$4.01B$2.66B$6.38B$2.35B$2.49B$3.02B
Profit Loss From Continuing Operations Attributable To Noncontrolling Interests$11.0M$10.0M$22.0M$10.0M$9.0M$4.0M$1.0M
Profit Loss From Continuing Operations$1.71B-$997.0M$2.21B$2.47B$2.34B$2.88B$1.75B
Profit Loss Attributable To Noncontrolling Interests$141.0M$130.0M$11.0M$10.0M-$771.0M$67.0M$9.0M$3.0M$1.0M

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Cash And Cash Equivalents$7.71B$5.77B$4.75B$5.51B$7.17B$8.02B$5.01B$9.39B$6.60B$10.07B$7.78B
Goodwill$902.0M$848.0M$896.0M$890.0M$907.0M$961.0M$969.0M$2.37B$1.48B$1.63B
Changes In Equity$2.69B$691.0M$1.09B-$2.21B-$4.86B$2.45B-$2.32B$220.0M$3.65B$1.71B
Adjustments For Increase Decrease In Other Liabilities-$330.0M-$1.44B$42.0M-$665.0M$16.0M$155.0M$2.43B$860.0M$3.39B$7.86B
Adjustments For Decrease Increase In Other Assets$24.0M$124.0M$23.0M-$35.0M$2.66B-$7.19B-$738.0M-$2.00B-$1.91B-$2.49B
Adjustments For Decrease Increase In Investments-$23.70B-$6.40B-$14.54B$22.72B-$14.55B-$20.98B-$26.48B$2.24B-$45.89B-$37.82B
Issue Of Equity$2.0M$4.0M-$4.0M$2.38B$13.0M$22.0M$23.0M$27.0M$13.0M
Cash And Cash Equivalents If Different From Statement Of Financial Position$5.51B$7.17B$8.02B$6.97B$15.44B$14.46B$12.44B
Deferred Tax Liabilities$1.83B$1.51B$1.25B$1.14B$1.17B$2.55B$2.15B$5.12B$4.72B
Deferred Tax Assets$119.0M$142.0M$156.0M$140.0M$132.0M$316.0M$271.0M$3.31B$2.63B
Cash Flows From Used In Operating Activities Continuing Operations$2.45B$3.61B$832.0M$1.08B$278.0M$2.77B$1.23B$3.36B$1.85B
Cash Flows From Used In Investing Activities Continuing Operations$1.09B-$832.0M-$360.0M-$39.0M-$726.0M-$1.19B-$319.0M-$576.0M-$263.0M
Cash Flows From Used In Financing Activities Continuing Operations-$1.74B-$1.70B-$1.21B-$2.52B$1.27B-$258.0M-$2.56B-$659.0M-$2.26B
Adjustments For Increase Decrease In Insurance Reinsurance And Investment Contract Liabilities-$29.21B$9.10B$27.67B$22.90B-$1.64B$42.76B$31.14B
Property Plant And Equipment$374.0M$437.0M$495.0M$584.0M$1.07B$1.80B$789.0M$743.0M
Accruals Deferred Income And Other Liabilities$2.73B$2.85B$4.04B$2.87B$2.62B$8.45B$14.49B$13.34B$14.19B
Trade And Other Receivables$817.0M$1.31B$1.16B$968.0M$955.0M$2.92B$2.05B$5.21B$2.96B
Purchase Of Property Plant And Equipment Classified As Investing Activities$104.0M$101.0M$44.0M$34.0M$36.0M$57.0M$59.0M$134.0M$98.0M$348.0M
Equity Attributable To Owners Of Parent$20.12B$17.49B$17.82B$16.73B$18.94B$20.88B$19.48B$21.97B$16.09B
Derivative Financial Liabilities$1.58B$1.62B$238.0M$1.00B$262.0M$439.0M$392.0M$4.47B$2.76B
Derivative Financial Assets$621.0M$395.0M$1.86B$569.0M$481.0M$379.0M$1.75B$4.45B$4.80B
Debt Instruments Held$92.05B$73.80B$83.06B$77.02B$99.15B$125.83B$134.57B$113.86B$171.37B
Current Tax Liabilities$273.0M$238.0M$275.0M$208.0M$185.0M$270.0M$396.0M$411.0M$537.0M
Current Tax Assets$77.0M$31.0M$34.0M$18.0M$20.0M$11.0M$492.0M$476.0M$613.0M
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses And Purchase Of Intangible Assets Classified As Investing Activities$297.0M$557.0M$415.0M$298.0M$773.0M$1.14B$635.0M$442.0M$304.0M$303.0M
Liabilities$190.84B$163.20B$156.08B$143.35B$169.12B$493.98B$434.55B$491.38B$477.85B
Investment Accounted For Using Equity Method$2.76B$2.41B$1.94B$2.26B$2.70B$1.96B$1.50B$1.73B$1.42B
Equity Instruments Held$89.56B$81.00B$64.75B$57.68B$61.60B$278.64B$247.28B$214.73B$223.39B
Equity And Liabilities$212.20B$181.88B$174.07B$160.25B$188.23B$516.10B$454.21B$508.65B$493.94B
Assets$212.20B$181.88B$174.07B$160.25B$188.23B$516.10B$454.21B$508.65B$493.94B
Dividends Paid To Equity Holders Of Parent Classified As Financing Activities$594.0M$552.0M$533.0M$474.0M$421.0M$814.0M$1.63B$1.66B

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Effect Of Exchange Rate Changes On Cash And Cash Equivalents$140.0M-$61.0M-$25.0M-$175.0M-$44.0M$70.0M$203.0M-$529.0M$1.08B$1.00B
Proceeds From Issue Of Ordinary Shares2.0M0.004.0M-4.0M2.38B13.0M22.0M23.0M27.0M13.0M
Increase Decrease In Cash And Cash Equivalents From Continuing Operations-$738.0M-$1.48B$817.0M$1.32B-$1.65B$2.12B-$674.0M

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Diluted Earnings Loss Per Share$1.54$0.84$0.62$-0.37$-0.78$0.82$0.30$1.56$1.20$0.75
Basic Earnings Loss Per Share$1.54$0.84$0.62$-0.37$-0.78$0.82$0.30$1.56$1.20$0.75

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Increase Decrease Through Sharebased Payment Transactions$11.0M$1.0M-$5.0M$24.0M$46.0M$89.0M$64.0M$92.0M$115.0M-$51.0M
Dividends Paid$714.0M$583.0M$540.0M$482.0M$430.0M$832.0M$1.63B$1.66B$1.53B$1.27B
Other Adjustments For Noncash Items-$880.0M$603.0M$584.0M$285.0M$438.0M$301.0M$26.0M$308.0M$664.0M$834.0M
Provisions$268.0M$218.0M$224.0M$206.0M$234.0M$350.0M$466.0M$1.37B$1.12B
Unallocated Surplus With Profits Funds$3.50B$5.38B$5.22B$4.75B$20.18B$16.95B$14.32B
Net Earned Premium$21.40B$22.37B$21.87B$22.74B$44.43B$38.50B$36.96B
Miscellaneous Other Operating Income$539.0M$641.0M$615.0M$639.0M$531.0M$1.32B$2.25B
Expense For Policyholder Claims And Benefits Net Of Reinsurance And Movement In Unallocated Surplus-$13.70B$18.91B$28.59B$29.17B$23.43B$63.81B$59.37B
Charges Net Of Reinsurance And Gain Or Loss On Disposal Of Businesses-$9.67B$23.83B$33.59B$35.72B$32.61B$72.71B$68.69B
Acquisition Costs And Other Operating Expense$3.88B$4.56B$4.65B$5.91B$8.53B$8.65B$8.72B
Increase Decrease Through Changes In Ownership Interests In Subsidiaries That Do Not Result In Loss Of Control-$76.0M-$22.0M$16.0M$49.0M-$310.0M$530.0M$15.0M$9.0M$7.0M
Loans And Advances To Customers$551.0M$517.0M$578.0M$590.0M$771.0M$14.59B$16.58B$15.85B$17.04B
Investment Property$3.0M$3.0M$39.0M$37.0M$38.0M$23.0M$25.0M$17.93B$16.50B$14.65B
Investment Income Loss$16.26B$5.92B$9.76B-$29.38B$3.49B$13.76B$14.96B-$9.12B$35.57B
Gain Loss On Disposal Of Business And Corporate Transactions$1.52B-$71.0M-$22.0M$55.0M-$35.0M-$30.0M-$142.0M-$107.0M$292.0M
Dividends Received Classified As Operating Activities$2.20B$2.32B$1.65B$1.52B$1.48B$1.31B$956.0M$744.0M$848.0M$2.29B
Adjustments For Finance Income Cost$5.48B$5.18B$4.38B$3.91B$3.74B$2.93B$2.09B$4.15B$4.61B$9.75B
Obligations Under Funding Securities Lending And Repurchase Agreements$745.0M$272.0M$716.0M$582.0M$223.0M$9.77B$8.90B$6.99B$5.66B
Noncontrolling Interests$1.24B$1.18B$160.0M$167.0M$175.0M$1.24B$192.0M$18.0M$7.0M
Net Asset Value Attributable To Unit Holders Of Consolidated Unit Trusts And Similar Funds$2.26B$2.68B$2.71B$4.19B$5.66B$5.98B$6.00B$11.65B$8.89B
Longterm Deposits$6.25B$5.47B$5.87B$6.28B$4.74B$3.88B$2.62B$11.80B$11.24B
Core Structural Borrowings Of Shareholder Financed Operations$4.46B$3.93B$3.93B$4.26B$6.13B$6.63B$5.59B$7.66B$6.28B
Increase Decrease Through Treasury Share Transactions Share Based Payments-$24.0M-$60.0M$38.0M$39.0M-$19.0M$2.0M
Income From Continuing Operations Attributable To Owners Of Parent$1.70B-$1.01B$2.19B$2.46B$2.33B$2.88B$1.75B

Most recent annual filing with the SEC: March 26, 2026

Data sourced from SEC EDGAR public filings as of August 5, 2026.