Financial Services » Insurance | AIA Group Ltd.

AIA Group Ltd. | Cash Flow

Fiscal year is December-November. All values HKD Millions.
2013
2014
2015
2016
2017
Other Funds
745
791
140
93
109
Funds from Operations
7,151
9,282
13,172
17,673
11,948
15,902
Net Operating Cash Flow
7,151
9,282
13,172
17,673
11,948
15,902
Capital Expenditures
1,869
10,601
1,876
1,902
1,986
Sale of Fixed Assets & Businesses
636
271
163
-
156
Purchase/Sale of Investments
388
124
70
2,406
31
Net Investing Cash Flow
17,894
10,453
1,783
4,308
1,846
Cash Dividends Paid - Total
4,615
5,343
6,311
8,724
10,717
Issuance/Reduction of Debt, Net
12,255
22,124
2,465
5,255
506
Net Financing Cash Flow
6,895
16,021
9,606
14,530
10,888
Net Change in Cash
4,413
4,164
628
1,444
288
Free Cash Flow
5,786
12,818
12,095
16,269
11,138
Net Assets from Acquisitions
13,977
-
-
-
-
Change in Capital Stock
-
31
690
458
444
Exchange Rate Effect
566
450
1,155
279
498
Other Uses
2,296
-
-
-
47

About AIA Group

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Address
35th Floor, AIA Central
Hong Kong
Hong Kong
Employees -
Website http://www.aia.com
Updated 07/08/2019
AIA Group Ltd. is an investment holding company, which engages in the provision of life insurance. It operates through the following geographical segments: Hong Kong, Thailand, Singapore, Malaysia, China, Korea, the Philippines, Australia, Indonesia, Taiwan, Vietnam, New Zealand, Macau, Brunei, Cambodia, a 97 per cent subsidiary in Sri Lanka, a 49 per cent joint venture in India, and a representative office in Myanmar. The company was founded by Cornelius Vander Starr in 1919 and is headquartered in Hong Kong.