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Brighthouse Financial Inc

BHF

50.840USD

-0.250-0.49%
Close 07/18, 16:00ETQuotes delayed by 15 min
2.94BMarket Cap
5.76P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
127.55%146.00M
-177.63%-118.00M
-92.92%24.00M
360.94%334.00M
-6.00%-530.00M
171.70%152.00M
135.24%339.00M
-180.50%-128.00M
-151.26%-500.00M
-307.84%-212.00M
-267.30%-962.00M
-8.09%159.00M
-91.35%-199.00M
-72.65%102.00M
1097.92%575.00M
-53.37%173.00M
-208.33%-104.00M
-26.28%373.00M
-90.64%48.00M
-14.32%371.00M
-74.47%96.00M
-67.69%506.00M
7.10%513.00M
-40.36%433.00M
29.21%376.00M
14.64%1.57B
-32.06%479.00M
-24.77%726.00M
-19.17%291.00M
20.78%1.37B
49.68%705.00M
-41.01%965.00M
-27.71%360.00M
--1.13B
--471.00M
--1.64B
--498.00M
Other non-cash items
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29.21%376.00M
14.64%1.57B
-32.06%479.00M
-24.77%726.00M
-19.17%291.00M
20.78%1.37B
49.68%705.00M
-41.01%965.00M
-27.71%360.00M
--1.13B
--471.00M
--1.64B
--498.00M
Change in working capital
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--0.00
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Cash from non-recurring investing activities
Cash from operating activities
127.55%146.00M
-177.63%-118.00M
-92.92%24.00M
360.94%334.00M
-6.00%-530.00M
171.70%152.00M
135.24%339.00M
-180.50%-128.00M
-151.26%-500.00M
-307.84%-212.00M
-267.30%-962.00M
-8.09%159.00M
-91.35%-199.00M
-72.65%102.00M
1097.92%575.00M
-53.37%173.00M
-208.33%-104.00M
-26.28%373.00M
-90.64%48.00M
-14.32%371.00M
-74.47%96.00M
-67.69%506.00M
7.10%513.00M
-40.36%433.00M
29.21%376.00M
14.64%1.57B
-32.06%479.00M
-24.77%726.00M
-19.17%291.00M
20.78%1.37B
49.68%705.00M
-41.01%965.00M
-27.71%360.00M
--1.13B
--471.00M
--1.64B
--498.00M
Investing cash flow
Net cash flow from investment products
206.04%737.00M
60.62%-319.00M
54.62%-329.00M
-30.46%-758.00M
-1.91%-695.00M
-64.30%-810.00M
70.21%-725.00M
79.09%-581.00M
75.26%-682.00M
81.37%-493.00M
54.05%-2.43B
30.84%-2.78B
-953.56%-2.76B
-74.88%-2.65B
-366.29%-5.30B
-110.81%-4.02B
110.32%323.00M
6.02%-1.51B
60.38%-1.14B
-76.32%-1.91B
-138.20%-3.13B
-46.63%-1.61B
-145.88%-2.87B
-4.75%-1.08B
-531.73%-1.31B
-13.78%-1.10B
-368.66%-1.17B
46.45%-1.03B
-140.55%-208.00M
-109.10%-965.00M
34.78%434.00M
12.73%-1.93B
123.86%513.00M
--10.61B
--322.00M
---2.21B
---2.15B
Net cash flow from other investing activities
-295.38%-762.00M
115.11%598.00M
149.37%117.00M
-293.13%-506.00M
159.82%390.00M
256.18%278.00M
-62.33%-237.00M
-8.39%262.00M
-368.31%-652.00M
-340.54%-178.00M
-380.77%-146.00M
255.43%286.00M
142.71%243.00M
151.39%74.00M
106.23%52.00M
-115.14%-184.00M
-135.45%-569.00M
-100.00%-144.00M
-1027.78%-835.00M
295.34%1.22B
26650.00%1.60B
-1128.57%-72.00M
130.41%90.00M
-326.03%-622.00M
100.85%6.00M
101.77%7.00M
52.10%-296.00M
64.48%-146.00M
-30.00%-702.00M
53.91%-395.00M
36.62%-618.00M
-58.08%-411.00M
-1600.00%-540.00M
---857.00M
---975.00M
---260.00M
--36.00M
Cash from non-current investing activities
Net cash flow from investing activities
190.08%563.00M
35.33%-357.00M
86.80%-130.00M
-223.95%-1.08B
52.83%-625.00M
18.82%-552.00M
61.78%-985.00M
86.64%-334.00M
47.40%-1.32B
73.57%-680.00M
50.94%-2.58B
40.65%-2.50B
-1159.50%-2.52B
-55.09%-2.57B
-155.12%-5.25B
-557.10%-4.21B
86.52%-200.00M
-1.04%-1.66B
25.59%-2.06B
61.39%-641.00M
-16.67%-1.48B
-53.60%-1.64B
-91.36%-2.77B
-48.21%-1.66B
-40.86%-1.27B
21.45%-1.07B
-649.22%-1.45B
52.12%-1.12B
-4004.55%-903.00M
-113.96%-1.36B
65.60%-193.00M
2.87%-2.34B
98.95%-22.00M
--9.75B
---561.00M
---2.41B
---2.10B
Financing cash flow
Cash flow from continuous financing activities
-196.45%-1.09B
-126.70%-110.00M
73.13%1.29B
165.76%1.37B
-19.21%1.13B
92.52%412.00M
-77.06%748.00M
-84.48%514.00M
-40.51%1.40B
-92.46%214.00M
-16.47%3.26B
-32.37%3.31B
961.09%2.35B
456.86%2.84B
346.17%3.90B
466.74%4.90B
-97.03%221.00M
-188.04%-795.00M
-65.85%875.00M
-199.33%-1.33B
1109.92%7.44B
-118.35%-276.00M
162.50%2.56B
109.67%1.34B
-4.35%615.00M
876.62%1.50B
129.97%976.00M
12720.00%641.00M
161.38%643.00M
101.82%154.00M
-926.65%-3.26B
-99.70%5.00M
-85.13%246.00M
---8.48B
--394.00M
--1.68B
--1.65B
Net cash flow from debt Issuance/repayment
176.47%13.00M
146.32%126.00M
26.04%-142.00M
194.05%253.00M
89.31%-17.00M
86.21%-272.00M
-33.33%-192.00M
-157.73%-269.00M
-160.66%-159.00M
-662.11%-1.97B
-129.03%-144.00M
-45.88%466.00M
93.72%-61.00M
115.35%351.00M
155.92%496.00M
124.61%861.00M
-114.72%-971.00M
-153.83%-2.29B
-174.10%-887.00M
-3497.09%-3.50B
1089.06%6.60B
-188.86%-901.00M
698.00%1.20B
472.22%103.00M
-1026.39%-667.00M
351.61%1.01B
107.68%150.00M
-86.15%18.00M
150.70%72.00M
93.61%-403.00M
-32450.00%-1.95B
-92.40%130.00M
-110.64%-142.00M
---6.31B
---6.00M
--1.71B
--1.33B
Net cash flow from common stock issuance/repurchase
4.84%-59.00M
0.00%-60.00M
0.00%-64.00M
0.00%-64.00M
0.00%-62.00M
35.48%-60.00M
52.94%-64.00M
51.52%-64.00M
51.18%-62.00M
41.14%-93.00M
8.72%-136.00M
-6.45%-132.00M
-86.76%-127.00M
-62.89%-158.00M
-175.93%-149.00M
31.11%-124.00M
52.11%-68.00M
24.22%-97.00M
57.14%-54.00M
-32.35%-180.00M
-173.08%-142.00M
-21.90%-128.00M
-200.00%-126.00M
---136.00M
---52.00M
---105.00M
---42.00M
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Net cash flow from preferred stock issuance/repurchase
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-39.25%339.00M
--0.00
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--558.00M
--0.00
--390.00M
-100.00%0.00
--0.00
--0.00
--0.00
--412.00M
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Cash dividend payments
0.00%26.00M
0.00%25.00M
0.00%26.00M
0.00%25.00M
0.00%26.00M
-3.85%25.00M
4.00%26.00M
-3.85%25.00M
-3.70%26.00M
23.81%26.00M
13.64%25.00M
23.81%26.00M
8.00%27.00M
61.54%21.00M
29.41%22.00M
200.00%21.00M
257.14%25.00M
85.71%13.00M
142.86%17.00M
0.00%7.00M
--7.00M
--7.00M
--7.00M
--7.00M
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--0.00
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--0.00
--1.80B
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Net cash flow from other financing activities
-34.81%-182.00M
-1210.87%-511.00M
403.16%478.00M
63.01%-54.00M
-277.63%-135.00M
193.88%46.00M
451.85%95.00M
-305.56%-146.00M
185.39%76.00M
81.23%-49.00M
59.70%-27.00M
29.41%-36.00M
-18.67%-89.00M
-37.37%-261.00M
11.84%-67.00M
77.33%-51.00M
85.09%-75.00M
51.90%-190.00M
-163.33%-76.00M
-648.78%-225.00M
-1912.00%-503.00M
-446.49%-395.00M
164.52%120.00M
148.81%41.00M
85.55%-25.00M
184.44%114.00M
-126.83%-186.00M
85.62%-84.00M
-175.88%-173.00M
89.22%-135.00M
-38.98%-82.00M
-508.33%-584.00M
-85.71%228.00M
---1.25B
---59.00M
---96.00M
--1.59B
Net cash from non-recurrent financing activities
Net cash from financing activities
-196.45%-1.09B
-126.70%-110.00M
73.13%1.29B
165.76%1.37B
-19.21%1.13B
92.52%412.00M
-77.06%748.00M
-84.48%514.00M
-40.51%1.40B
-92.46%214.00M
-16.47%3.26B
-32.37%3.31B
961.09%2.35B
456.86%2.84B
346.17%3.90B
466.74%4.90B
-97.03%221.00M
-188.04%-795.00M
-65.85%875.00M
-199.33%-1.33B
1109.92%7.44B
-118.35%-276.00M
162.50%2.56B
109.67%1.34B
-4.35%615.00M
876.62%1.50B
129.97%976.00M
12720.00%641.00M
161.38%643.00M
101.82%154.00M
-926.65%-3.26B
-99.70%5.00M
-85.13%246.00M
---8.48B
--394.00M
--1.68B
--1.65B
Net cash flow
Beginning cash balance
31.00%5.04B
46.65%5.63B
18.84%4.44B
3.74%3.82B
-6.42%3.85B
-19.90%3.84B
-26.31%3.74B
-10.14%3.69B
-8.02%4.12B
16.67%4.79B
3.87%5.07B
1.89%4.10B
8.91%4.47B
-33.62%4.11B
-33.35%4.88B
-54.93%4.03B
42.79%4.11B
44.30%6.19B
84.00%7.33B
131.11%8.93B
-30.59%2.88B
100.05%4.29B
86.46%3.98B
104.66%3.86B
123.21%4.14B
26.27%2.14B
-51.95%2.13B
-67.52%1.89B
-64.48%1.86B
-39.89%1.70B
76.24%4.44B
259.43%5.81B
232.99%5.23B
--2.83B
--2.52B
--1.62B
--1.57B
Current period cash flow changes
-1250.00%-378.00M
-4975.00%-585.00M
1065.69%1.19B
1088.46%618.00M
93.49%-28.00M
101.77%12.00M
136.69%102.00M
-94.64%52.00M
-15.28%-430.00M
-285.25%-678.00M
64.08%-278.00M
13.19%970.00M
-349.40%-373.00M
117.59%366.00M
31.87%-774.00M
153.40%857.00M
-101.37%-83.00M
-47.38%-2.08B
-468.83%-1.14B
-1471.79%-1.60B
2254.09%6.05B
-170.56%-1.41B
3322.22%308.00M
-52.63%117.00M
-1006.45%-281.00M
1158.49%2.00B
100.33%9.00M
118.04%247.00M
-94.69%31.00M
-93.38%159.00M
-1002.96%-2.75B
-251.44%-1.37B
1142.55%584.00M
--2.40B
--304.00M
--904.00M
--47.00M
Effect of exchange rate changes
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--0.00
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Ending cash balance
22.08%4.67B
31.00%5.04B
46.65%5.63B
18.84%4.44B
3.74%3.82B
-6.42%3.85B
-19.90%3.84B
-26.31%3.74B
-10.14%3.69B
-8.02%4.12B
16.67%4.79B
3.87%5.07B
1.89%4.10B
8.91%4.47B
-33.62%4.11B
-33.35%4.88B
-54.93%4.03B
42.79%4.11B
44.30%6.19B
84.00%7.33B
131.11%8.93B
-30.59%2.88B
100.05%4.29B
86.46%3.98B
104.66%3.86B
123.21%4.14B
26.27%2.14B
-51.95%2.13B
-67.52%1.89B
-64.48%1.86B
-39.89%1.70B
76.24%4.44B
259.43%5.81B
--5.23B
--2.83B
--2.52B
--1.62B
Free cash flow
127.55%146.00M
-177.63%-118.00M
-92.92%24.00M
360.94%334.00M
-6.00%-530.00M
171.70%152.00M
135.24%339.00M
-180.50%-128.00M
-151.26%-500.00M
-307.84%-212.00M
-267.30%-962.00M
-8.09%159.00M
-91.35%-199.00M
-72.65%102.00M
1097.92%575.00M
-53.37%173.00M
-208.33%-104.00M
-26.28%373.00M
-90.64%48.00M
-14.32%371.00M
-74.47%96.00M
-67.69%506.00M
7.10%513.00M
-40.36%433.00M
29.21%376.00M
14.64%1.57B
-32.06%479.00M
-24.77%726.00M
-19.17%291.00M
20.78%1.37B
49.68%705.00M
-41.01%965.00M
-27.71%360.00M
--1.13B
--471.00M
--1.64B
--498.00M
Currency unit
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