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Metlife Inc (MET)

Metlife Inc (MET)
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[[ session ]] by (Cboe BZX)
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Balance Sheet for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2023 12-2022 12-2021 12-2020 12-2019
Assets
Total Investments 446,137,000 433,293,000 494,821,000 508,519,000 473,795,000
Cash & Cash Equivalents 20,639,000 20,195,000 20,047,000 19,795,000 16,598,000
Equity Investments 757,000 1,684,000 1,269,000 1,079,000 1,342,000
Accrued Investment Income 3,589,000 3,446,000 3,185,000 3,388,000 3,523,000
Premiums Receivable 28,971,000 17,364,000 17,149,000 17,870,000 20,443,000
Deferred Policy Acquisition Costs 20,151,000 19,653,000 16,061,000 16,389,000 17,833,000
Deferred Assets 2,612,000 2,439,000 189,000 N/A N/A
Intangibles 9,236,000 9,297,000 9,535,000 10,112,000 9,308,000
Separate Account Assets 144,634,000 146,038,000 179,873,000 199,970,000 188,445,000
Other assets 657,709,000 633,580,000 730,126,000 765,239,000 714,557,000
Total Assets $687,584,000 $663,072,000 $759,708,000 $795,146,000 $740,463,000
Liabilities
Future Policy Benefits 219,707,000 209,796,000 219,632,000 227,313,000 214,781,000
Policyholder Funds 219,269,000 210,597,000 203,473,000 205,176,000 192,627,000
Long Term Debt 16,185,000 15,363,000 14,699,000 15,448,000 14,459,000
Separate Account Liabilities 144,634,000 146,038,000 179,873,000 199,970,000 188,445,000
Other liabilities 641,146,000 617,584,000 677,260,000 704,881,000 659,622,000
Total Liabilities $657,331,000 $632,947,000 $691,959,000 $720,329,000 $674,081,000
Shareholders' Equity
Shares Outstanding, K 723,020 774,362 825,078 884,399 915,828
Common Shares 12,000 12,000 12,000 12,000 12,000
Additional Paid Capital 33,690,000 33,616,000 33,511,000 33,812,000 32,680,000
Retained earnings 40,146,000 40,332,000 41,197,000 36,491,000 33,078,000
Treasury Shares 24,591,000 21,458,000 18,157,000 13,829,000 12,678,000
Other shareholders' equity -19,004,000 -22,377,000 11,186,000 18,331,000 13,290,000
TOTAL $30,253,000 $30,125,000 $67,749,000 $74,817,000 $66,382,000
Total Liabilities And Equity $687,584,000 $663,072,000 $759,708,000 $795,146,000 $740,463,000
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