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Aegon N.V. ADR (AEG)

Aegon N.V. ADR (AEG)
5.45 x 16 6.80 x 1
Post-market by (Cboe BZX)
6.45 +0.01 (+0.16%) 04/25/25 [NYSE]
5.45 x 16 6.80 x 1
Post-market 6.45 unch (unch) 16:01 ET
Cash Flow for Fri, Apr 25th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 714,186 -374,476 -971,419 2,839,440 -415,797
Depreciation Amortization -33,545 -176,415 1,222,176 1,380,678 824,741
Other Working Capital -2,098,192 2,678,692 -5,943,357 -5,153,583 2,016,159
Other Operating Activity 2,242,111 -1,192,694 8,696,414 -1,191,383 -5,685,226
Operating Cash Flow $824,560 $935,107 $3,003,814 $-2,124,848 $-3,260,124
Cash Flows From Investing Activities
PPE Investments -33,545 -20,564 -66,377 -87,549 -83,388
Net Acquisitions -23,806 -2,162,435 482,549 69,803 -17,135
Purchase Of Investment -8,657 -273,822 -76,913 -114,761 -348,402
Sale Of Investment 40,038 12,988 194,916 N/A 175,914
Purchase Sale Intangibles -16,232 -51,950 -27,394 -42,592 -42,265
Other Investing Activity 350,600 283,562 114,842 68,620 114,230
Investing Cash Flow $324,630 $-2,160,271 $649,018 $-63,887 $-158,780
Cash Flows From Financing Activities
Debt Issued 757,470 2,889,741 3,760,298 4,630,653 3,934,081
Debt Repayment -983,629 -4,578,129 -4,757,004 -3,800,117 -4,552,065
Common Stock Issued N/A N/A N/A N/A -67,396
Common Stock Repurchased -1,000,943 -1,160,226 -628,999 -273,296 N/A
Dividend Paid -563,774 -534,656 -175,951 -143,155 -71,965
Other Financing Activity -108,209 -124,464 -221,256 -59,155 -131,365
Financing Cash Flow $-1,899,085 $-3,507,734 $-2,022,912 $354,930 $-888,709
Exchange Rate Effect 95,225 -41,127 57,948 79,268 -138,218
Beginning Cash Position 4,408,476 9,184,397 7,258,250 9,904,913 14,008,020
End Cash Position 3,753,805 4,409,290 8,946,117 8,150,376 9,563,336
Net Cash Flow $-654,671 $-4,775,107 $1,687,867 $-1,754,537 $-4,444,689
Free Cash Flow
Operating Cash Flow 824,560 935,107 3,003,814 -2,124,848 -3,260,124
Capital Expenditure -55,187 -70,350 -75,859 -89,916 -91,384
Free Cash Flow 769,373 864,758 2,927,955 -2,214,764 -3,351,508
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