Revenue
Cost
Profit
| Item | Category | Value | YoY |
|---|---|---|---|
| Revenues | revenue | 15.53B | 15.26% |
| Income (loss) from continuing operations before equity method investments, income taxes, noncontrolling interest | profit | 733.00M | -20.33% |
| Total benefits and expenses | cost | 14.79B | 17.87% |
| Equity in earnings of joint ventures and other operating entities, net of taxes | revenue | 2.00M | -93.10% |
| Income (loss) before equity in earnings of joint ventures and other operating entities | profit | 604.00M | -15.29% |
| Income tax expense (benefit) | cost | 129.00M | -37.68% |
| Policyholders’ benefits | cost | 9.53B | 17.11% |
| General and administrative expenses | cost | 3.47B | 12.52% |
| Interest credited to policyholders’ account balances | cost | 1.11B | 34.42% |
| Amortization of deferred policy acquisition costs | cost | 411.00M | 0.98% |
| Dividends to policyholders | cost | 232.00M | 60.00% |
| Other adjustments | revenue | 39.00M | -22.00% |
| Net income (loss) | profit | 606.00M | -18.33% |
| Net income (loss) attributable to prudential financial, inc. | profit | 597.00M | -15.56% |
| Less: income (loss) attributable to noncontrolling interests and redeemable noncontrolling interests | cost | 9.00M | -74.29% |
| Item | Category | Value | YoY |
|---|---|---|---|
| Fixed maturities, available-for-sale, at fair value | assets | 330.85B | |
| Commercial mortgage and other loans (net of $487 and $469 allowance for credit losses; includes $1,495 and $1,056 of loans measured at fair value under the fair value option at march 31, 2026 and december 31, 2025, respectively) | assets | 65.41B | |
| Other invested assets | assets | 27.79B | |
| Fixed maturities, trading | assets | 15.83B | |
| Equity securities | assets | 12.55B | |
| Policy loans | assets | 9.99B | |
| Short-term investments (net of allowance for credit losses: 2026-$11; 2025-$0) | assets | 6.92B | |
| Assets supporting experience-rated contractholder liabilities, at fair value | assets | 4.78B | |
| Total investments | assets | 474.12B | |
| Separate account assets | assets | 189.04B | |
| Reinsurance recoverables and deposit receivables (net of $14 and $14 allowance for credit losses; includes $745 and $573 of embedded derivatives at fair value at march 31, 2026 and december 31, 2025, respectively) | assets | 43.21B | |
| Deferred policy acquisition cost | assets | 21.73B | |
| Cash and cash equivalents | assets | 15.94B | |
| Other assets | assets | 15.18B | |
| Accrued investment income | assets | 3.63B | |
| Market risk benefit assets | assets | 2.17B | |
| Present value of future insurance profits, net | assets | 382.00M | |
| Total assets | assets | 765.40B | |
| Total liabilities | liabilities | 730.47B | |
| Total equity | liabilities | 32.32B | |
| Total mezzanine equity | liabilities | 2.61B | |
| Future policy benefits | liabilities | 262.47B | |
| Policyholder contract deposit | liabilities | 192.13B | |
| Separate account liabilities | liabilities | 189.04B | |
| Reinsurance and funds withheld payables | liabilities | 19.27B | |
| Long-term debt, excluding current maturities | liabilities | 18.88B | |
| Other liabilities | liabilities | 18.51B | |
| Securities sold under agreements to repurchase | liabilities | 10.97B | |
| Cash collateral for loaned securities | liabilities | 8.90B | |
| Market risk benefit liabilities | liabilities | 5.00B | |
| Notes issued by consolidated variable interest entities | liabilities | 3.28B | |
| Debt, current, excluding securities sold | liabilities | 946.00M | |
| Policyholders’ dividends | liabilities | 809.00M | |
| Income tax liabilities | liabilities | 255.00M | |
| Noncontrolling interests | liabilities | 344.00M | |
| Treasury stock, value | equity | 25.46B | |
| Accumulated other comprehensive income (loss), net of tax | equity | 3.45B | |
| Total prudential financial, inc. equity | equity | 31.98B | |
| Redeemable noncontrolling interest, equity, carrying amount | liabilities | 2.61B | |
| Aggregate | equity | 60.89B | |
| Retained earnings | equity | 34.93B | |
| Additional paid-in capital | equity | 25.95B | |
| Common stock, value, issued | equity | 6.00M |
| Item | Value |
|---|---|
| Interest credited to policyholders’ account balances | 1.11B |
| Net income (loss) | 606.00M |
| Future policy benefits and other insurance liabilities | 525.00M |
| Income taxes | 490.00M |
| Realized investment gains (losses), net | 364.00M |
| Change in value of market risk benefits, net of related hedging gains (losses) | 295.00M |
| Increase (decrease) in derivative assets and liabilities | 240.00M |
| Depreciation and amortization | 143.00M |
| (gains) losses on assets supporting experience-rated contractholder liabilities, net | 119.00M |
| Increase (decrease) in deferred policy acquisition costs | -213.00M |
| Reinsurance related-balances | -609.00M |
| Insurance services revenue | -620.00M |
| Increase (decrease) in other operating assets and liabilities, net | -1.44B |
| Item | Value |
|---|---|
| Fixed maturities, available-for-sale | 15.18B |
| Short-term investments | 9.60B |
| Equity securities | 1.78B |
| Commercial mortgage and other loans | 1.71B |
| Other invested assets | 995.00M |
| Fixed maturities, trading | 876.00M |
| Policy loans | 456.00M |
| Assets supporting experience-rated contractholder liabilities | 336.00M |
| Payment for (proceeds from) other investing activity | 78.00M |
| Payments for (proceeds from) derivative instrument, investing activities | -274.00M |
| Payments to fund policy loans | -396.00M |
| Payments to acquire assets supporting experience-rated contractholder liabilities | -470.00M |
| Payments to acquire long-term investments | -1.10B |
| Payment for acquisition, trading security, held-for-investment | -1.93B |
| Payments to acquire mortgage notes receivable | -2.05B |
| Payments to acquire marketable securities | -3.70B |
| Payments to acquire short-term investments | -10.11B |
| Payments to acquire debt securities, available-for-sale | -21.15B |
| Item | Value |
|---|---|
| Policyholders’ account deposits | 9.87B |
| Net change in securities sold under agreements to repurchase and cash collateral for loaned securities | 1.58B |
| Proceeds from notes issued by consolidated vies | 627.00M |
| Other, net | 246.00M |
| Proceeds from the issuance of debt (maturities longer than 90 days) | 105.00M |
| Common stock reissued for exercise of stock options | 29.00M |
| Net change in financing arrangements (maturities 90 days or less) | 1.00M |
| Cost of treasury stock acquired | -246.00M |
| Payments of ordinary dividends, common stock | -502.00M |
| Repayments of other debt | -560.00M |
| Withdrawal from contract holders funds | -5.71B |
| Item | Value |
|---|---|
| Cash and cash equivalents, beginning of period | 19.71B |
| Cash and cash equivalents, end of period | 15.94B |
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