US Stock MarketDetailed Quotes

ZURVY Zurich Insurance Group Ltd Sponsored ADR

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  • 34.000
  • -0.050-0.15%
15min DelayClose Mar 13 16:00 ET
  • 34.000
  • 0.0000.00%
Post 17:53 ET
96.75BMarket Cap16.94P/E (TTM)

Zurich Insurance Group Ltd Sponsored ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(Q4)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
33.62%5.81B
9.76%4.35B
-23.80%3.96B
35.68%5.2B
-7.55%3.83B
11.60%4.15B
23.70%3.72B
-6.45%3B
74.32%3.21B
261.56%685M
Other non cash items
84.62%-2M
-111.50%-13M
130.21%113M
-167.03%-374M
125.00%558M
93.75%248M
-75.34%128M
20.42%519M
32.62%431M
-2.30%170M
Change in working capital
85.17%16.03B
166.26%8.66B
-183.35%-13.07B
98.15%15.67B
-56.98%7.91B
291.79%18.39B
-173.60%-9.59B
0.51%13.03B
58.71%12.96B
-76.53%1.23B
-Change in other current assets
424.25%6.62B
115.64%1.26B
-728.44%-8.07B
-855.04%-974M
115.19%129M
-0.95%-849M
32.88%-841M
25.68%-1.25B
-258.91%-1.69B
-154.66%-504M
-Change in other current liabilities
----
----
----
296.41%656M
-1,082.35%-334M
-69.09%34M
350.00%110M
89.81%-44M
-308.70%-432M
137.14%83M
Cash from discontinued operating activities
Operating cash flow
3.51%7.6B
45.68%7.35B
59.20%5.04B
-44.45%3.17B
16.73%5.7B
11.30%4.88B
-15.73%4.39B
253.50%5.21B
-71.79%1.47B
-136.83%-214M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
0.00%-361M
24.95%-361M
-14.25%-481M
14.43%-421M
22.88%-492M
25.81%-638M
-71.66%-860M
23.63%-501M
-6.15%-656M
-12.77%-265M
Net business purchase and sale
-35.58%-1.05B
-346.82%-773M
92.99%-173M
-41,033.33%-2.47B
99.62%-6M
-216.97%-1.57B
-39.44%-495M
27.10%-355M
-679.76%-487M
2,250.00%188M
Net other investing changes
----
----
----
0.00%1M
--1M
----
300.00%2M
---1M
----
----
Cash from discontinued investing activities
Investing cash flow
-24.03%-1.4B
-73.09%-1.13B
77.34%-654M
-481.85%-2.89B
77.52%-496M
-63.17%-2.21B
-57.94%-1.35B
25.04%-856M
-117.11%-1.14B
66.37%-76M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
40.34%-389M
-26.36%-652M
-126.82%-516M
94.15%1.92B
3,096.77%991M
-97.95%31M
244.23%1.51B
-174.19%-1.05B
295.03%1.41B
95.89%-27M
Net common stock issuance
35.29%-1.31B
-162.73%-2.02B
-69.23%-770M
-112.62%-455M
-111.88%-214M
89.42%-101M
-1,445.07%-955M
24.56%71M
-12.31%57M
2,100.00%22M
Cash dividends paid
-8.53%-4.47B
-9.26%-4.12B
-6.59%-3.77B
-9.34%-3.53B
-6.46%-3.23B
-0.70%-3.04B
-4.29%-3.02B
-4.44%-2.89B
3.52%-2.77B
-9.65%-125M
Net other financing charges
----
----
----
----
----
----
----
0.00%1M
102.86%1M
--0
Cash from discontinued financing activities
Financing cash flow
9.00%-6.37B
-32.79%-7B
-130.06%-5.27B
14.22%-2.29B
19.08%-2.67B
-34.39%-3.3B
36.48%-2.46B
-198.46%-3.87B
63.64%-1.3B
83.14%-130M
Net cash flow
Beginning cash position
-6.25%7.65B
-12.59%8.16B
-20.43%9.33B
37.52%11.73B
-6.40%8.53B
2.94%9.11B
11.35%8.85B
-13.54%7.95B
4.75%9.19B
-11.14%8.68B
Current changes in cash
78.07%-173M
10.85%-789M
55.99%-885M
-179.39%-2.01B
505.93%2.53B
-207.77%-624M
19.88%579M
150.05%483M
-185.25%-965M
-0.96%-420M
Effect of exchange rate changes
-237.41%-382M
195.86%278M
24.87%-290M
-157.96%-386M
1,524.39%666M
112.85%41M
-175.95%-319M
250.00%420M
60.78%-280M
-103.97%-308M
End cash position
-7.26%7.09B
-6.25%7.65B
-12.59%8.16B
-20.43%9.33B
37.52%11.73B
-6.40%8.53B
2.94%9.11B
11.35%8.85B
-13.54%7.95B
-13.54%7.95B
Free cash flow
4.42%7.23B
53.69%6.93B
73.95%4.51B
-49.68%2.59B
24.61%5.15B
27.69%4.13B
-30.81%3.24B
517.02%4.68B
-83.32%758M
-246.11%-488M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(Q4)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 33.62%5.81B9.76%4.35B-23.80%3.96B35.68%5.2B-7.55%3.83B11.60%4.15B23.70%3.72B-6.45%3B74.32%3.21B261.56%685M
Other non cash items 84.62%-2M-111.50%-13M130.21%113M-167.03%-374M125.00%558M93.75%248M-75.34%128M20.42%519M32.62%431M-2.30%170M
Change in working capital 85.17%16.03B166.26%8.66B-183.35%-13.07B98.15%15.67B-56.98%7.91B291.79%18.39B-173.60%-9.59B0.51%13.03B58.71%12.96B-76.53%1.23B
-Change in other current assets 424.25%6.62B115.64%1.26B-728.44%-8.07B-855.04%-974M115.19%129M-0.95%-849M32.88%-841M25.68%-1.25B-258.91%-1.69B-154.66%-504M
-Change in other current liabilities ------------296.41%656M-1,082.35%-334M-69.09%34M350.00%110M89.81%-44M-308.70%-432M137.14%83M
Cash from discontinued operating activities
Operating cash flow 3.51%7.6B45.68%7.35B59.20%5.04B-44.45%3.17B16.73%5.7B11.30%4.88B-15.73%4.39B253.50%5.21B-71.79%1.47B-136.83%-214M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 0.00%-361M24.95%-361M-14.25%-481M14.43%-421M22.88%-492M25.81%-638M-71.66%-860M23.63%-501M-6.15%-656M-12.77%-265M
Net business purchase and sale -35.58%-1.05B-346.82%-773M92.99%-173M-41,033.33%-2.47B99.62%-6M-216.97%-1.57B-39.44%-495M27.10%-355M-679.76%-487M2,250.00%188M
Net other investing changes ------------0.00%1M--1M----300.00%2M---1M--------
Cash from discontinued investing activities
Investing cash flow -24.03%-1.4B-73.09%-1.13B77.34%-654M-481.85%-2.89B77.52%-496M-63.17%-2.21B-57.94%-1.35B25.04%-856M-117.11%-1.14B66.37%-76M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 40.34%-389M-26.36%-652M-126.82%-516M94.15%1.92B3,096.77%991M-97.95%31M244.23%1.51B-174.19%-1.05B295.03%1.41B95.89%-27M
Net common stock issuance 35.29%-1.31B-162.73%-2.02B-69.23%-770M-112.62%-455M-111.88%-214M89.42%-101M-1,445.07%-955M24.56%71M-12.31%57M2,100.00%22M
Cash dividends paid -8.53%-4.47B-9.26%-4.12B-6.59%-3.77B-9.34%-3.53B-6.46%-3.23B-0.70%-3.04B-4.29%-3.02B-4.44%-2.89B3.52%-2.77B-9.65%-125M
Net other financing charges ----------------------------0.00%1M102.86%1M--0
Cash from discontinued financing activities
Financing cash flow 9.00%-6.37B-32.79%-7B-130.06%-5.27B14.22%-2.29B19.08%-2.67B-34.39%-3.3B36.48%-2.46B-198.46%-3.87B63.64%-1.3B83.14%-130M
Net cash flow
Beginning cash position -6.25%7.65B-12.59%8.16B-20.43%9.33B37.52%11.73B-6.40%8.53B2.94%9.11B11.35%8.85B-13.54%7.95B4.75%9.19B-11.14%8.68B
Current changes in cash 78.07%-173M10.85%-789M55.99%-885M-179.39%-2.01B505.93%2.53B-207.77%-624M19.88%579M150.05%483M-185.25%-965M-0.96%-420M
Effect of exchange rate changes -237.41%-382M195.86%278M24.87%-290M-157.96%-386M1,524.39%666M112.85%41M-175.95%-319M250.00%420M60.78%-280M-103.97%-308M
End cash position -7.26%7.09B-6.25%7.65B-12.59%8.16B-20.43%9.33B37.52%11.73B-6.40%8.53B2.94%9.11B11.35%8.85B-13.54%7.95B-13.54%7.95B
Free cash flow 4.42%7.23B53.69%6.93B73.95%4.51B-49.68%2.59B24.61%5.15B27.69%4.13B-30.81%3.24B517.02%4.68B-83.32%758M-246.11%-488M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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