AU Stock MarketDetailed Quotes

QBE QBE Insurance Group Ltd

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  • 19.650
  • -0.250-1.26%
20min DelayNot Open Jan 8 16:00 AET
29.58BMarket Cap15.28P/E (Static)

QBE Insurance Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
0.52%22.04B
10.38%21.93B
17.70%19.87B
2.15%16.88B
0.75%16.52B
-0.19%16.4B
-2.41%16.43B
-1.42%16.84B
-8.49%17.08B
-11.60%18.67B
Cash received from insurance business
18.79%26.29B
10.16%22.13B
17.79%20.09B
2.25%17.05B
0.46%16.68B
-0.34%16.6B
-2.06%16.66B
-1.61%17.01B
-8.66%17.29B
-11.53%18.93B
Other cash income from operating activities
-2,052.79%-4.24B
10.45%-197M
-26.44%-220M
-12.99%-174M
23.38%-154M
11.06%-201M
-32.16%-226M
17.39%-171M
20.99%-207M
6.43%-262M
Cash paid
-7.33%-20.54B
-11.83%-19.14B
-9.38%-17.11B
-6.11%-15.65B
12.46%-14.75B
-3.59%-16.84B
0.12%-16.26B
4.78%-16.28B
6.75%-17.1B
9.53%-18.34B
Cash paid for insurance business
-7.14%-20.16B
-12.10%-18.82B
-9.90%-16.79B
-5.77%-15.28B
11.93%-14.44B
-3.27%-16.4B
-0.47%-15.88B
4.24%-15.8B
6.30%-16.5B
9.92%-17.61B
All taxes paid
-86.49%-138M
15.91%-74M
22.12%-88M
-117.31%-113M
74.63%-52M
-122.83%-205M
54.68%-92M
41.50%-203M
9.40%-347M
7.93%-383M
Other cash payments from operating activities
2.44%-240M
-3.36%-246M
7.39%-238M
-2.80%-257M
-4.17%-250M
17.24%-240M
-6.23%-290M
-10.53%-273M
26.92%-247M
-14.19%-338M
Operating cash flow
-46.17%1.5B
1.38%2.79B
123.18%2.75B
-30.64%1.23B
501.58%1.78B
-357.56%-443M
-69.23%172M
3,593.75%559M
-104.82%-16M
-60.94%332M
Investing cash flow
Cash flow from continuing investing activities
78.67%-428M
27.57%-2.01B
-28.17%-2.77B
-100.93%-2.16B
-163.07%-1.08B
474.41%1.71B
87.97%297M
-37.55%158M
154.76%253M
67.23%-462M
Net PPE purchase and sale
30.30%-23M
-13.79%-33M
27.50%-29M
-37.93%-40M
-16.00%-29M
62.12%-25M
-3.13%-66M
31.91%-64M
-141.03%-94M
72.14%-39M
Net intangibles purchase and sale
-9.85%-145M
-45.05%-132M
-28.17%-91M
15.48%-71M
-20.00%-84M
19.54%-70M
59.72%-87M
---216M
----
----
Net business purchase and sale
-102.00%-7M
--350M
----
-85.59%17M
-62.30%118M
2,745.45%313M
--11M
----
2,072.00%493M
-136.76%-25M
Net investment purchase and sale
88.53%-230M
23.76%-2.01B
-12.20%-2.63B
-130.58%-2.35B
-166.30%-1.02B
247.06%1.53B
-15.49%442M
694.32%523M
75.14%-88M
73.82%-354M
Net other investing changes
87.63%-23M
-830.00%-186M
-107.22%-20M
532.81%277M
-39.13%-64M
-1,433.33%-46M
96.47%-3M
-46.55%-85M
-31.82%-58M
-414.29%-44M
Cash from discontinued investing activities
Investing cash flow
78.67%-428M
27.57%-2.01B
-28.17%-2.77B
-100.93%-2.16B
-163.07%-1.08B
474.41%1.71B
87.97%297M
-37.55%158M
154.76%253M
67.23%-462M
Financing cash flow
Cash flow from continuing financing activities
36.96%-498M
-882.18%-790M
-91.53%101M
221.24%1.19B
-7.54%-984M
-26.91%-915M
-29.91%-721M
-43.04%-555M
-173.24%-388M
-19.33%-142M
Net issuance payments of debt
88.19%-56M
-280.23%-474M
67.52%263M
160.85%157M
36.45%-258M
-613.92%-406M
364.71%79M
200.00%17M
97.53%-17M
-624.43%-687M
Net common stock issuance
0.00%-1M
---1M
----
585.07%1.3B
1.83%-268M
-3.41%-273M
-234.18%-264M
-393.75%-79M
-102.11%-16M
3,890.00%758M
Cash dividends paid
-40.00%-441M
-94.44%-315M
38.87%-162M
42.27%-265M
-93.67%-459M
55.87%-237M
-8.70%-537M
-37.60%-494M
-66.20%-359M
7.30%-216M
Net other financing charges
----
----
----
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-75.00%1M
33.33%4M
0.00%3M
Cash from discontinued financing activities
Financing cash flow
36.96%-498M
-882.18%-790M
-91.53%101M
221.24%1.19B
-7.54%-984M
-26.91%-915M
-29.91%-721M
-43.04%-555M
-173.24%-388M
-19.33%-142M
Net cash flow
Beginning cash position
1.71%833M
6.92%819M
40.04%766M
-36.62%547M
50.87%863M
-32.47%572M
27.95%847M
-22.30%662M
-31.18%852M
-38.86%1.24B
Current changes in cash
11,640.00%577M
-105.95%-5M
-68.30%84M
194.31%265M
-180.75%-281M
238.10%348M
-255.56%-252M
207.28%162M
44.49%-151M
59.94%-272M
Effect of exchange rate changes
-331.58%-44M
161.29%19M
32.61%-31M
-24.32%-46M
-5.71%-37M
-75.00%-35M
-154.05%-20M
194.87%37M
-25.81%-39M
71.30%-31M
Cash adjustments other than cash changes
----
----
----
----
109.09%2M
-633.33%-22M
78.57%-3M
---14M
----
---83M
End cash Position
63.99%1.37B
1.71%833M
6.92%819M
40.04%766M
-36.62%547M
50.87%863M
-32.47%572M
27.95%847M
-22.30%662M
-31.18%852M
Free cash flow
-49.18%1.34B
-0.27%2.63B
134.55%2.63B
-32.55%1.12B
406.63%1.67B
-3,294.12%-543M
-93.58%17M
315.45%265M
-149.40%-123M
-64.93%249M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023 (FY)Dec 30, 2022 (FY)Dec 30, 2021 (FY)Dec 30, 2020 (FY)Dec 30, 2019 (FY)Dec 30, 2018 (FY)Dec 30, 2017 (FY)Dec 30, 2016 (FY)Dec 30, 2015 (FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 0.52%22.04B 10.38%21.93B 17.70%19.87B 2.15%16.88B 0.75%16.52B -0.19%16.4B -2.41%16.43B -1.42%16.84B -8.49%17.08B -11.60%18.67B
Cash received from insurance business 18.79%26.29B 10.16%22.13B 17.79%20.09B 2.25%17.05B 0.46%16.68B -0.34%16.6B -2.06%16.66B -1.61%17.01B -8.66%17.29B -11.53%18.93B
Other cash income from operating activities -2,052.79%-4.24B 10.45%-197M -26.44%-220M -12.99%-174M 23.38%-154M 11.06%-201M -32.16%-226M 17.39%-171M 20.99%-207M 6.43%-262M
Cash paid -7.33%-20.54B -11.83%-19.14B -9.38%-17.11B -6.11%-15.65B 12.46%-14.75B -3.59%-16.84B 0.12%-16.26B 4.78%-16.28B 6.75%-17.1B 9.53%-18.34B
Cash paid for insurance business -7.14%-20.16B -12.10%-18.82B -9.90%-16.79B -5.77%-15.28B 11.93%-14.44B -3.27%-16.4B -0.47%-15.88B 4.24%-15.8B 6.30%-16.5B 9.92%-17.61B
All taxes paid -86.49%-138M 15.91%-74M 22.12%-88M -117.31%-113M 74.63%-52M -122.83%-205M 54.68%-92M 41.50%-203M 9.40%-347M 7.93%-383M
Other cash payments from operating activities 2.44%-240M -3.36%-246M 7.39%-238M -2.80%-257M -4.17%-250M 17.24%-240M -6.23%-290M -10.53%-273M 26.92%-247M -14.19%-338M
Operating cash flow -46.17%1.5B 1.38%2.79B 123.18%2.75B -30.64%1.23B 501.58%1.78B -357.56%-443M -69.23%172M 3,593.75%559M -104.82%-16M -60.94%332M
Investing cash flow
Cash flow from continuing investing activities 78.67%-428M 27.57%-2.01B -28.17%-2.77B -100.93%-2.16B -163.07%-1.08B 474.41%1.71B 87.97%297M -37.55%158M 154.76%253M 67.23%-462M
Net PPE purchase and sale 30.30%-23M -13.79%-33M 27.50%-29M -37.93%-40M -16.00%-29M 62.12%-25M -3.13%-66M 31.91%-64M -141.03%-94M 72.14%-39M
Net intangibles purchase and sale -9.85%-145M -45.05%-132M -28.17%-91M 15.48%-71M -20.00%-84M 19.54%-70M 59.72%-87M ---216M ---- ----
Net business purchase and sale -102.00%-7M --350M ---- -85.59%17M -62.30%118M 2,745.45%313M --11M ---- 2,072.00%493M -136.76%-25M
Net investment purchase and sale 88.53%-230M 23.76%-2.01B -12.20%-2.63B -130.58%-2.35B -166.30%-1.02B 247.06%1.53B -15.49%442M 694.32%523M 75.14%-88M 73.82%-354M
Net other investing changes 87.63%-23M -830.00%-186M -107.22%-20M 532.81%277M -39.13%-64M -1,433.33%-46M 96.47%-3M -46.55%-85M -31.82%-58M -414.29%-44M
Cash from discontinued investing activities
Investing cash flow 78.67%-428M 27.57%-2.01B -28.17%-2.77B -100.93%-2.16B -163.07%-1.08B 474.41%1.71B 87.97%297M -37.55%158M 154.76%253M 67.23%-462M
Financing cash flow
Cash flow from continuing financing activities 36.96%-498M -882.18%-790M -91.53%101M 221.24%1.19B -7.54%-984M -26.91%-915M -29.91%-721M -43.04%-555M -173.24%-388M -19.33%-142M
Net issuance payments of debt 88.19%-56M -280.23%-474M 67.52%263M 160.85%157M 36.45%-258M -613.92%-406M 364.71%79M 200.00%17M 97.53%-17M -624.43%-687M
Net common stock issuance 0.00%-1M ---1M ---- 585.07%1.3B 1.83%-268M -3.41%-273M -234.18%-264M -393.75%-79M -102.11%-16M 3,890.00%758M
Cash dividends paid -40.00%-441M -94.44%-315M 38.87%-162M 42.27%-265M -93.67%-459M 55.87%-237M -8.70%-537M -37.60%-494M -66.20%-359M 7.30%-216M
Net other financing charges ---- ---- ---- 0.00%1M 0.00%1M 0.00%1M 0.00%1M -75.00%1M 33.33%4M 0.00%3M
Cash from discontinued financing activities
Financing cash flow 36.96%-498M -882.18%-790M -91.53%101M 221.24%1.19B -7.54%-984M -26.91%-915M -29.91%-721M -43.04%-555M -173.24%-388M -19.33%-142M
Net cash flow
Beginning cash position 1.71%833M 6.92%819M 40.04%766M -36.62%547M 50.87%863M -32.47%572M 27.95%847M -22.30%662M -31.18%852M -38.86%1.24B
Current changes in cash 11,640.00%577M -105.95%-5M -68.30%84M 194.31%265M -180.75%-281M 238.10%348M -255.56%-252M 207.28%162M 44.49%-151M 59.94%-272M
Effect of exchange rate changes -331.58%-44M 161.29%19M 32.61%-31M -24.32%-46M -5.71%-37M -75.00%-35M -154.05%-20M 194.87%37M -25.81%-39M 71.30%-31M
Cash adjustments other than cash changes ---- ---- ---- ---- 109.09%2M -633.33%-22M 78.57%-3M ---14M ---- ---83M
End cash Position 63.99%1.37B 1.71%833M 6.92%819M 40.04%766M -36.62%547M 50.87%863M -32.47%572M 27.95%847M -22.30%662M -31.18%852M
Free cash flow -49.18%1.34B -0.27%2.63B 134.55%2.63B -32.55%1.12B 406.63%1.67B -3,294.12%-543M -93.58%17M 315.45%265M -149.40%-123M -64.93%249M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
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