S&P 500 7,500.58 ▲ 80.48 (+1.08%) DOW 51,564.70 ▲ 72.10 (+0.14%) NASDAQ 26,517.93 ▲ 496.23 (+1.91%) US Markets Closed â€ĸ 11:11 PM ET

PUK

Prudential plc

Price Chart
Latest Quote

$26.79

+0.00 (+0.00%)
Current Price
Previous Close $26.79
Open $26.75
Day High $26.96
Day Low $26.58
Volume 1,186,634
Fetched: 2026-06-22T03:11:54
Stock Information
Quarterly Dividend / Yield $0.53 / 1.99%
Shares Outstanding 1.25B
Quarterly Dividend Yield 1.99%
Quarterly Dividend $0.53
Total Debt $6.03B
Cash Equivalents $3.85B
Revenue $14.43B
Net Income $3.98B
Sector Financial Services
Industry Insurance - Life
Market Cap $33.47B
P/E Ratio 8.73
EPS (TTM) $3.07
Exchange NYQ
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📊 Comprehensive Analysis
Company Data
Enterprise Value$139.07B
Sales$14.43B
Income$3.98B
Book/sh$3.97
Cash/sh$3.08
Employees15K
Financial Ratios
Quick Ratio1.01
Current Ratio2.39
Debt/Eq28.25
EPS Growth TTM24.40%
Returns & Margins
ROA1.89%
ROE20.58%
Gross Margin41.39%
Operating Margin45.48%
Profit Margin27.57%
Ownership
Institutional Ownership2.93%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E12.34
PEG4.54
P/S2.32
P/B6.74
Analyst Data
Recommendationstrong_buy
Target Price$38.66
Technical Indicators
SMA20$27.74
SMA50$29.53
SMA200$29.16
RSI36.19
ATR0.7936
Shares Float5.01B
Short Float0.10%
Short Ratio1.32
Volatility0.91
Rel Volume0.81
Performance History
Week+2.88%
Month-11.61%
Quarter-6.20%
6 Months-9.21%
YTD-14.21%
Year+12.97%
3 Years+1.21%
5 Years-28.25%
10 Years+5.16%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $26.79 1,327,700
2026-06-17 $26.79 1,479,100
2026-06-16 $27.10 1,197,500
2026-06-15 $27.14 3,037,400
2026-06-12 $26.58 1,269,200
2026-06-11 $26.04 1,996,200
2026-06-10 $25.01 2,027,000
2026-06-09 $24.98 1,705,900
2026-06-08 $25.58 1,972,300
2026-06-05 $25.49 2,953,400
2026-06-04 $26.11 2,939,300
2026-06-03 $28.56 2,709,700
2026-06-02 $29.09 673,000
2026-06-01 $28.81 971,200
2026-05-29 $28.76 1,164,300
2026-05-28 $29.25 1,243,600
2026-05-27 $30.15 1,582,200
2026-05-26 $30.76 1,389,400
2026-05-22 $30.47 501,000
2026-05-21 $31.25 448,300
2026-05-20 $31.25 1,149,100
2026-05-19 $30.31 793,500
About Prudential plc

Prudential plc, through its subsidiaries, provides life and health insurance, and asset management solutions to individuals in Asia and Africa. It offers savings and investments products; and wealth, health, and protection products. The company was founded in 1848 and is headquartered in Central, Hong Kong.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Total Revenue $27,393,000,000 $16,211,000,000 $19,148,000,000 $-21,220,000,000
Operating Revenue $27,393,000,000 $16,211,000,000 $19,148,000,000 $-21,220,000,000
Expenses
Interest Expense $183,000,000 $171,000,000 $172,000,000 $200,000,000
Total Expenses $22,452,000,000 $13,258,000,000 $17,051,000,000 $-20,577,000,000
Other Income Expense $447,000,000 $422,000,000 $373,000,000 $-89,000,000
Net Non Operating Interest Income Expense $-183,000,000 $-171,000,000 $-172,000,000 $-200,000,000
Interest Expense Non Operating $183,000,000 $171,000,000 $172,000,000 $200,000,000
Other Operating Expenses $1,211,000,000 $1,289,000,000 $1,165,000,000 $1,143,000,000
General And Administrative Expense - - - $3,100,000,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $3,978,000,000 $2,285,000,000 $1,701,000,000 $-1,007,000,000
Net Interest Income $-183,000,000 $-171,000,000 $-172,000,000 $-200,000,000
Interest Income $5,562,000,000 $5,292,000,000 $4,433,000,000 $4,060,000,000
Normalized Income $2,715,040,073 $2,343,064,680 $1,718,960,897 $-1,052,925,000
Net Income From Continuing And Discontinued Operation $3,978,000,000 $2,285,000,000 $1,701,000,000 $-1,007,000,000
Net Income Common Stockholders $3,978,000,000 $2,285,000,000 $1,701,000,000 $-1,007,000,000
Net Income $3,978,000,000 $2,285,000,000 $1,701,000,000 $-1,007,000,000
Net Income Including Noncontrolling Interests $4,119,000,000 $2,415,000,000 $1,712,000,000 $-997,000,000
Net Income Continuous Operations $4,119,000,000 $2,415,000,000 $1,712,000,000 $-997,000,000
Pretax Income $4,941,000,000 $2,953,000,000 $2,097,000,000 $-643,000,000
Special Income Charges $1,515,000,000 $-71,000,000 $-22,000,000 $55,000,000
Net Income Discontinuous Operations - - - $0
Per Share
Diluted EPS $3.07 $1.68 $1.24 $0.73
Basic EPS $3.08 $1.68 $1.24 $0.73
Other
Tax Effect Of Unusual Items $252,040,073 $-12,935,320 $-4,039,103 $9,075,000
Tax Rate For Calcs $0 $0 $0 $0
Total Unusual Items $1,515,000,000 $-71,000,000 $-22,000,000 $55,000,000
Total Unusual Items Excluding Goodwill $1,515,000,000 $-71,000,000 $-22,000,000 $55,000,000
EBIT $5,124,000,000 $3,124,000,000 $2,269,000,000 $-443,000,000
Diluted Average Shares $1,296,000,000 $1,360,000,000 $1,373,500,000 $1,368,000,000
Basic Average Shares $1,290,000,000 $1,357,500,000 $1,370,500,000 $1,368,000,000
Diluted NI Availto Com Stockholders $3,978,000,000 $2,285,000,000 $1,701,000,000 $-1,007,000,000
Minority Interests $-141,000,000 $-130,000,000 $11,000,000 $-10,000,000
Tax Provision $822,000,000 $538,000,000 $385,000,000 $354,000,000
Other Special Charges $-1,515,000,000 $71,000,000 $22,000,000 $-55,000,000
Net Policyholder Benefits And Claims $4,809,000,000 $4,606,000,000 $4,368,000,000 $3,814,000,000
Restructuring And Mergern Acquisition - - $22,000,000 $-55,000,000
Selling General And Administration - - - $3,100,000,000
Fetched: 2026-06-15
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $15,257,000,000 $12,820,000,000 $12,941,000,000 $11,957,000,000
Total Assets $212,195,000,000 $181,876,000,000 $174,066,000,000 $160,249,000,000
Non Current Deferred Taxes Assets $119,000,000 $142,000,000 $156,000,000 $140,000,000
Financial Assets $621,000,000 $395,000,000 $1,855,000,000 $569,000,000
Investmentin Financial Assets $182,230,000,000 $155,201,000,000 $149,672,000,000 $135,264,000,000
Financial Assets Designatedas Fair Value Through Profitor Loss Total $181,609,000,000 $154,806,000,000 $147,817,000,000 $134,695,000,000
Goodwill And Other Intangible Assets $4,860,000,000 $4,672,000,000 $4,882,000,000 $4,774,000,000
Other Intangible Assets $3,958,000,000 $3,824,000,000 $3,986,000,000 $3,884,000,000
Other Receivables $1,888,000,000 $2,212,000,000 $2,164,000,000 $1,951,000,000
Taxes Receivable $77,000,000 $31,000,000 $34,000,000 $18,000,000
Cash Cash Equivalents And Short Term Investments $3,851,000,000 $2,445,000,000 $1,590,000,000 $1,809,000,000
Cash And Cash Equivalents $3,851,000,000 $2,445,000,000 $1,590,000,000 $1,809,000,000
Accounts Receivable - - - $836,000,000
Debt
Net Debt $1,129,000,000 $2,020,000,000 $3,050,000,000 $2,968,000,000
Total Debt $5,290,000,000 $4,722,000,000 $4,874,000,000 $5,076,000,000
Long Term Debt And Capital Lease Obligation $4,770,000,000 $4,195,000,000 $4,175,000,000 $4,575,000,000
Long Term Debt $4,460,000,000 $3,938,000,000 $3,941,000,000 $4,276,000,000
Current Debt And Capital Lease Obligation $520,000,000 $527,000,000 $699,000,000 $501,000,000
Current Debt $520,000,000 $527,000,000 $699,000,000 $501,000,000
Liabilities
Total Liabilities Net Minority Interest $190,835,000,000 $163,202,000,000 $156,083,000,000 $143,351,000,000
Derivative Product Liabilities $1,582,000,000 $1,617,000,000 $238,000,000 $1,001,000,000
Non Current Deferred Taxes Liabilities $1,830,000,000 $1,514,000,000 $1,250,000,000 $1,139,000,000
Payables $2,675,000,000 $2,848,000,000 $4,066,000,000 $2,874,000,000
Other Payable $2,402,000,000 $2,610,000,000 $3,791,000,000 $2,666,000,000
Total Tax Payable $273,000,000 $238,000,000 $275,000,000 $208,000,000
Accounts Payable - - - $3,000,000,000
Equity
Common Stock Equity $20,117,000,000 $17,492,000,000 $17,823,000,000 $16,731,000,000
Total Equity Gross Minority Interest $21,360,000,000 $18,674,000,000 $17,983,000,000 $16,898,000,000
Stockholders Equity $20,117,000,000 $17,492,000,000 $17,823,000,000 $16,731,000,000
Retained Earnings $14,086,000,000 $11,906,000,000 $11,928,000,000 $10,653,000,000
Long Term Equity Investment $2,763,000,000 $2,412,000,000 $1,940,000,000 $2,259,000,000
Other
Treasury Shares Number $16,600,000 $14,900,000 $10,000,000 $0
Ordinary Shares Number $2,531,613,779 $2,642,621,888 $2,743,520,756 $2,749,669,380
Share Issued $2,548,213,779 $2,657,521,888 $2,753,520,756 $2,749,669,380
Tangible Book Value $15,257,000,000 $12,820,000,000 $12,941,000,000 $11,957,000,000
Invested Capital $25,097,000,000 $21,957,000,000 $22,463,000,000 $21,508,000,000
Capital Lease Obligations $310,000,000 $257,000,000 $234,000,000 $299,000,000
Total Capitalization $24,577,000,000 $21,430,000,000 $21,764,000,000 $21,007,000,000
Minority Interest $1,243,000,000 $1,182,000,000 $160,000,000 $167,000,000
Additional Paid In Capital $5,025,000,000 $5,016,000,000 $5,009,000,000 $5,006,000,000
Capital Stock $169,000,000 $176,000,000 $183,000,000 $182,000,000
Common Stock $169,000,000 $176,000,000 $183,000,000 $182,000,000
Non Current Accrued Expenses $329,000,000 $238,000,000 $244,000,000 $200,000,000
Long Term Capital Lease Obligation $310,000,000 $257,000,000 $234,000,000 $299,000,000
Long Term Provisions $268,000,000 $218,000,000 $224,000,000 $206,000,000
Investments And Advances $184,993,000,000 $157,613,000,000 $151,612,000,000 $137,523,000,000
Investment Properties $3,000,000 $3,000,000 $39,000,000 $37,000,000
Goodwill $902,000,000 $848,000,000 $896,000,000 $890,000,000
Net PPE $530,000,000 $417,000,000 $374,000,000 $437,000,000
Gross PPE $1,419,000,000 $1,340,000,000 $1,229,000,000 $1,210,000,000
Other Properties $1,353,000,000 $1,279,000,000 $1,178,000,000 $1,162,000,000
Properties $66,000,000 $61,000,000 $51,000,000 $48,000,000
Accumulated Depreciation - - - $-773,000,000
Other Short Term Investments - - - $0
Fetched: 2026-06-15
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $2,346,000,000 $3,508,000,000 $788,000,000 $1,044,000,000
Operating Activities
Operating Cash Flow $2,450,000,000 $3,609,000,000 $832,000,000 $1,078,000,000
Investing Activities
Capital Expenditure $-104,000,000 $-101,000,000 $-44,000,000 $-34,000,000
Investing Cash Flow $1,088,000,000 $-832,000,000 $-360,000,000 $-39,000,000
Financing Activities
Repurchase Of Capital Stock $-1,252,000,000 $-860,000,000 $0 $-4,000,000
Issuance Of Capital Stock $2,000,000 $0 $4,000,000 -
Financing Cash Flow $-1,744,000,000 $-1,695,000,000 $-1,210,000,000 $-2,520,000,000
Cash Dividends Paid $-594,000,000 $-552,000,000 $-533,000,000 $-474,000,000
Common Stock Dividend Paid $-594,000,000 $-552,000,000 $-533,000,000 $-474,000,000
Net Common Stock Issuance $-1,250,000,000 $-860,000,000 $4,000,000 $-4,000,000
Common Stock Issuance $2,000,000 $0 $4,000,000 -
Dividend Received Cfo $2,198,000,000 $2,316,000,000 $1,650,000,000 $1,523,000,000
Net Other Financing Charges - $-18,000,000 - -
Other
Issuance Of Debt $462,000,000 $0 $0 $346,000,000
End Cash Position $7,706,000,000 $5,772,000,000 $4,751,000,000 $5,514,000,000
Beginning Cash Position $5,772,000,000 $4,751,000,000 $5,514,000,000 $7,170,000,000
Effect Of Exchange Rate Changes $140,000,000 $-61,000,000 $-25,000,000 $-175,000,000
Changes In Cash $1,794,000,000 $1,082,000,000 $-738,000,000 $-1,481,000,000
Interest Paid Cff $-176,000,000 $-164,000,000 $-188,000,000 $-204,000,000
Common Stock Payments $-1,252,000,000 $-860,000,000 $0 $-4,000,000
Net Issuance Payments Of Debt $462,000,000 $0 $-393,000,000 $-1,729,000,000
Net Long Term Debt Issuance $462,000,000 $0 $-393,000,000 $-1,729,000,000
Long Term Debt Issuance $462,000,000 $0 $0 $346,000,000
Net Business Purchase And Sale $1,188,000,000 $-557,000,000 $-142,000,000 $-5,000,000
Sale Of Business $1,485,000,000 $0 $273,000,000 $293,000,000
Purchase Of Business $-297,000,000 $-557,000,000 $-415,000,000 $-298,000,000
Net PPE Purchase And Sale $-100,000,000 $-101,000,000 $-42,000,000 $-34,000,000
Sale Of PPE $4,000,000 $0 $2,000,000 $0
Purchase Of PPE $-104,000,000 $-101,000,000 $-44,000,000 $-34,000,000
Taxes Refund Paid $-518,000,000 $-549,000,000 $-406,000,000 $-449,000,000
Interest Received Cfo $3,416,000,000 $3,049,000,000 $2,872,000,000 $2,589,000,000
Interest Paid Cfo $-61,000,000 $-75,000,000 $-75,000,000 $-16,000,000
Other Non Cash Items $15,992,000,000 $2,032,000,000 $9,058,000,000 $-24,767,000,000
Gain Loss On Investment Securities $-23,698,000,000 $-6,403,000,000 $-14,539,000,000 $22,717,000,000
Net Income From Continuing Operations $5,121,000,000 $3,239,000,000 $2,272,000,000 $-519,000,000
Repayment Of Debt - $0 $-393,000,000 $-2,075,000,000
Long Term Debt Payments - $0 $-393,000,000 $-2,075,000,000
Other Cash Adjustment Inside Changein Cash - - $0 $0
Change In Working Capital - - $12,787,000,000 $-20,440,000,000
Change In Other Current Assets - - $12,787,000,000 $-20,440,000,000
Change In Other Current Liabilities - - - $15,000,000
Provisionand Write Offof Assets - - - $-29,208,000,000
Fetched: 2026-06-15