ASSURANT, INC.

AIZ 10-Q · Q2 2025

AIZ Q2 2025 request

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Income Statement

Income Statement
Metric Q2 2025 Q2 2024 YoY
Premiums Earned Net 2,587.7 2,444.6 +5.9%
Other Income 463.7 375.2 +23.6%
Show Consolidation Items breakouts
Corporate Non Segment 1.3 0.1 +1200.0%
Net Investment Income 128.7 124.7 +3.2%
Show Business Segments breakouts
Global Housing · Operating Segments 34.4 29.9 +15.1%
Global Lifestyle · Operating Segments 87.7 85.7 +2.3%
Show Consolidation Items breakouts
Corporate Non Segment 5.6 7.1 -21.1%
Gain Loss On Investments -21.7 -19.6 -10.7%
Show Equity Components breakouts
Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income -21.1 -13.9 -51.8%
Show Consolidation Items breakouts
Material Reconciling Items -21.7 -19.6 -10.7%
Revenue 3,158.4 2,924.9 +8.0%
Show Business Segments breakouts
Global Housing · Operating Segments 732.1 663.5 +10.3%
Global Lifestyle · Operating Segments 2,438.5 2,269.2 +7.5%
Show Consolidation Items breakouts
Corporate Non Segment 6.9 7.2 -4.2%
Policyholder Benefits And Claims Incurred Net 721.5 696.1 +3.6%
Show Business Segments breakouts
Global Housing · Operating Segments 258.7 279.9 -7.6%
Global Lifestyle · Operating Segments 461.5 411.8 +12.1%
Underwriting Selling General And Administrative Expense 2,121.2 1,969.2 +7.7%
Show Equity Components breakouts
Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income 0.5 -2.5 +120.0%
Interest Expense Debt 26.7 26.7 0.0%
Show Equity Components breakouts
Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income -0.7 -0.7 0.0%
Benefits Losses And Expenses 2,869.4 2,692 +6.6%
Income Before Taxes 289 232.9 +24.1%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income -0.3 3.2 -109.4%
Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income 0.2 3.2 -93.8%
Income Tax Expense (Benefit) 53.7 44.2 +21.5%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income -0.1 0.7 -114.3%
Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income -4.4 -2.9 -51.7%
Net Income 235.3 188.7 +24.7%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income -0.2 2.5 -108.0%
Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income 0.2 2.5 -92.0%
Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income -16.7 -11 -51.8%
Retained Earnings 235.3 188.7 +24.7%
Show Reclassification Out Of Accumulated Other Comprehensive Income breakouts
Reclassification Out Of Accumulated Other Comprehensive Income -16.7 -6 -178.3%
EPS (Basic) 4.6 3.59 +28.1%
EPS (Diluted) 4.56 3.58 +27.4%
Wtd Avg Shares (Basic) 51,135,518 52,500,727 -2.6%
Weighted Average Number Diluted Shares Outstanding Adjustment 436,547 217,009 +101.2%
Wtd Avg Shares (Diluted) 51,572,065 52,717,736 -2.2%
Revenue (Q)
Show Business Segments breakouts
Global Housing 36.3 40.8 -11.0%
Global Lifestyle 402.1 314.3 +27.9%
Cost of Revenue (Q)
Show Business Segments breakouts
Global Lifestyle · Operating Segments 231.4 182.4 +26.9%
General & Administrative (Q)
Show Business Segments breakouts
Global Housing · Operating Segments 206.6 187.9 +10.0%
Global Lifestyle · Operating Segments 314 297.3 +5.6%
Show Consolidation Items breakouts
Corporate Non Segment 36.7 34.4 +6.7%
Comprehensive Income 349.2 147.2 +137.2%
Other Comprehensive Income 113.9 -41.5 +374.5%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment 0.2 -2.5 +108.0%
Accumulated Gain Loss Net Cash Flow Hedge Parent 0.6 -0.9 +166.7%
Accumulated Net Unrealized Investment Gain Loss 69.2 -23 +400.9%
Accumulated Translation Adjustment 43.9 -15.1 +390.7%
Interest Expense (Q)
Show Consolidation Items breakouts
Material Reconciling Items -26.7 -26.7 0.0%

Balance Sheet

Balance Sheet
Metric Q2 2025 Q2 2024 YoY
Current Assets
Cash & Cash Equivalents 1,486.7 1,713.1 -13.2%
Short-Term Investments (Q)
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level1 · Fair Value Measurements Recurring 280.2 190.4 +47.2%
Fair Value Inputs Level2 · Fair Value Measurements Recurring 2.6 20.7 -87.4%
Show Fair Value By Measurement Frequency breakouts
Fair Value Measurements Recurring 282.8 211.1 +34.0%
Non-Current Assets
Property, Plant & Equipment 811.5 732.6 +10.8%
Goodwill 2,630.8 2,618.4 +0.5%
Total Assets 35,525.9
Show Business Segments breakouts
Global Housing · Operating Segments 5,369.3
Global Lifestyle · Operating Segments 28,439.2
Show Consolidation Items breakouts
Corporate Non Segment 1,717.4
Other Assets
Equity Securities Fv Ni 207.9 226.3 -8.1%
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level1 · Common Stock 2 3.4 -41.2%
Fair Value Inputs Level1 · Mutual Fund 15.5 13.6 +14.0%
Fair Value Inputs Level2 · Nonredeemable Preferred Stock 169.3 208.6 -18.8%
Fair Value Inputs Level3 · Mutual Fund 20.7
Fair Value Inputs Level3 · Nonredeemable Preferred Stock 0.4
Show Financial Instrument breakouts
Common Stock · Fair Value Measurements Recurring 2 4.1 -51.2%
Mutual Fund · Fair Value Measurements Recurring 36.2 13.6 +166.2%
Nonredeemable Preferred Stock · Fair Value Measurements Recurring 169.7 208.6 -18.6%
Other Short Term Investments 316.3 254 +24.5%
Other Investments 592.1 505.9 +17.0%
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level1 · Fair Value Measurements Recurring 86.8 71.1 +22.1%
Fair Value Inputs Level3 · Fair Value Measurements Recurring 0.1 0.1 0.0%
Show Fair Value By Measurement Frequency breakouts
Fair Value Measurements Recurring 86.9 71.2 +22.1%
Investments 9,517.9 8,524.9 +11.6%
Premiums And Other Receivables Net 1,931.3 1,814.8 +6.4%
Reinsurance Recoverables 7,328.6 6,727.9 +8.9%
Accrued Investment Income Receivable 123.8 119.9 +3.3%
Deferred Policy Acquisition Costs 10,138.5 10,041 +1.0%
Value Of Business Acquired V O B A 6 20.8 -71.2%
Intangible Assets Net Excluding Goodwill 529.9 555.1 -4.5%
Other Assets 1,020.9 904.5 +12.9%
Non-Current Liabilities
Accrued Sales Commission Current And Noncurrent 597.3 511.7 +16.7%
Accounts Payable And Accrued Liabilities Current And Noncurrent 3,717.8 2,512.2 +48.0%
Total Liabilities 30,027.4 28,768.7 +4.4%
Other Liabilities
Available For Sale Securities Debt Securities 8,071.8 7,208.5 +12.0%
Show Fair Value Hierarchy breakouts
Fair Value Inputs Level2 · Asset Backed Securities 791.7 860.9 -8.0%
Fair Value Inputs Level2 · Commercial Mortgage Backed Securities 408.6 304 +34.4%
Fair Value Inputs Level2 · Domestic Corporate Debt Securities 3,507.1 3,215.2 +9.1%
Fair Value Inputs Level2 · Foreign Corporate Debt Securities 1,648 1,452.4 +13.5%
Fair Value Inputs Level2 · Foreign Government Debt Securities 570.6 455.7 +25.2%
Fair Value Inputs Level2 · Residential Mortgage Backed Securities 806.2 577.2 +39.7%
Fair Value Inputs Level2 · US Government Agencies Debt Securities 63.3 58.2 +8.8%
Fair Value Inputs Level2 · US States And Political Subdivisions 101 134 -24.6%
Fair Value Inputs Level3 · Asset Backed Securities 118.2 95.6 +23.6%
Fair Value Inputs Level3 · Domestic Corporate Debt Securities 49.2 45.3 +8.6%
Fair Value Inputs Level3 · Foreign Corporate Debt Securities 7.9 10 -21.0%
Show Financial Instrument breakouts
Asset Backed Securities 909.9 956.5 -4.9%
Asset Backed Securities · Fair Value Measurements Recurring 909.9 956.5 -4.9%
Commercial Mortgage Backed Securities 408.6 304 +34.4%
Commercial Mortgage Backed Securities · Fair Value Measurements Recurring 408.6 304 +34.4%
Domestic Corporate Debt Securities 3,556.3 3,260.5 +9.1%
Domestic Corporate Debt Securities · Fair Value Measurements Recurring 3,556.3 3,260.5 +9.1%
Foreign Corporate Debt Securities 1,655.9 1,462.4 +13.2%
Foreign Corporate Debt Securities · Fair Value Measurements Recurring 1,655.9 1,462.4 +13.2%
Foreign Government Debt Securities 570.6 455.7 +25.2%
Foreign Government Debt Securities · Fair Value Measurements Recurring 570.6 455.7 +25.2%
Residential Mortgage Backed Securities 806.2 577.2 +39.7%
Residential Mortgage Backed Securities · Fair Value Measurements Recurring 806.2 577.2 +39.7%
US Government Agencies Debt Securities · Fair Value Measurements Recurring 63.3 58.2 +8.8%
US States And Political Subdivisions 101 134 -24.6%
US States And Political Subdivisions · Fair Value Measurements Recurring 101 134 -24.6%
US Treasury And Government 63.3 58.2 +8.8%
Liability For Future Policy Benefits 511.7 511.5 0.0%
Show Product Lines breakouts
Long-term care 447.9 441.6 +1.4%
Other 63.8 69.9 -8.7%
Unearned Premiums 20,497.2 20,245.3 +1.2%
Liability For Claims And Claims Adjustment Expense 2,350.9 2,115.2 +11.1%
Funds Held Under Reinsurance Agreements Liability 268.1 322 -16.7%
Unsecured Debt 2,084.4 2,081.8 +0.1%
Stockholders' Equity
Common Stock 0.5 0.5 0.0%
Additional Paid In Capital Common Stock 1,684.5 1,669.6 +0.9%
Retained Earnings 4,570.9 4,309.7 +6.1%
Accumulated Other Comprehensive Income -634.6 -852.7 +25.6%
Treasury Stock Common Value -122.8 -122.8 0.0%
Total Stockholders' Equity 5,498.5 5,004.3 +9.9%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment -128.8 -120.9 -6.5%
Accumulated Gain Loss Net Cash Flow Hedge Parent 4.2 4.4 -4.5%
Accumulated Net Unrealized Investment Gain Loss -147.5 -360.7 +59.1%
Accumulated Other Comprehensive Income -634.6 -852.7 +25.6%
Accumulated Translation Adjustment -362.5 -375.5 +3.5%
Additional Paid In Capital 1,684.5 1,669.6 +0.9%
Common Stock 0.5 0.5 0.0%
Retained Earnings 4,570.9 4,309.7 +6.1%
Treasury Stock Common -122.8 -122.8 0.0%
Total Liabilities & Equity 35,525.9 33,773 +5.2%
Mortgage Loans On Real Estate Commercial And Consumer Net 329.8 330.2 -0.1%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q2 2025 YTD Q2 2024 YoY
Operating Activities
Deferred Income Taxes And Tax Credits 26.6 22.5 +18.2%
Depreciation Amortization And Accretion Net 115.7 101.1 +14.4%
Marketable Securities Gain Loss Excluding Other Than Temporary Impairments 37.7 28.4 +32.7%
Stock-Based Compensation 37.5 34.6 +8.4%
Restructuring Costs -1.4 1.2 -216.7%
Change In Insurance Policy Reserves And Expenses -394.3 335.5 -217.5%
Change In Premiums And Accounts Receivable 163.8 446 -63.3%
Increase Decrease In Commissions Payable 26.4 -22.5 +217.3%
Increase Decrease In Reinsurance Recoverable 236.1 -61.3 +485.2%
Increase Decrease In Funds Held Under Reinsurance Agreements -11.3 -69.7 +83.8%
Change In Deferred Acquisition Costs And Value Of Business Acquired -94.2 -43.6 -116.1%
Increase Decrease In Income Taxes -110.1 -150.1 +26.6%
Increase Decrease In Other Operating Capital Net 224.4 -202 +211.1%
Increase Decrease In Other Operating Assets 19.1 -51.8 +136.9%
Net Cash from Operations 657.9 793.4 -17.1%
Investing Activities
Proceeds From Sale Of Available For Sale Securities Debt 650.2 571.1 +13.9%
Proceeds From The Sale Of Equity Securities 24.9 26.6 -6.4%
Proceeds From Sale Of Other Investments 21.1 60.1 -64.9%
Proceeds From Maturities Prepayments And Calls Of Available For Sale Securities 424.2 237.4 +78.7%
Proceeds From Sale And Collection Of Mortgage Notes Receivable 39.1 26.2 +49.2%
Purchases of Investments -1,702.9 -1,223.1 -39.2%
Payments To Acquire Equity Securities -16.4 -24.1 +32.0%
Payments To Acquire Mortgage Notes Receivable -26.6 -30 +11.3%
Payments To Acquire Other Investments -52.8 -50.2 -5.2%
Capital Expenditures -113.3 -106.2 -6.7%
Payments For Proceeds From Short Term Investments -32.2 2.6 -1338.5%
Other Investing Activities 0.2 0.1 +100.0%
Net Cash from Investing -784.5 -521.6 -50.4%
Financing Activities
Share Repurchases -127.6 -87.7 -45.5%
Payments Of Dividends Common Stock -83.6 -77.3 -8.2%
Tax Withholding for Share Compensation -11.8 -12 +1.7%
Net Cash from Financing -223 -177 -26.0%
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 28.6 -9.1 +414.3%
Net Change in Cash -321 85.7 -474.6%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 1,486.7 1,713.1 -13.2%

Values in millions USD. Source: SEC EDGAR 10-Q filing.

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