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Metlife Inc (MET)

Metlife Inc (MET)
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[[ session ]] by (Cboe BZX)
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Balance Sheet for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  09-2020 06-2020 03-2020 12-2019 09-2019
Assets
Total Investments 506,245,000 494,944,000 483,111,000 473,795,000 471,893,000
Cash & Cash Equivalents 24,405,000 24,289,000 24,094,000 16,598,000 19,452,000
Equity Investments 1,111,000 1,105,000 1,050,000 1,342,000 1,341,000
Accrued Investment Income 3,424,000 3,388,000 3,828,000 3,523,000 3,561,000
Premiums Receivable 20,712,000 20,848,000 21,224,000 20,443,000 20,723,000
Deferred Policy Acquisition Costs 16,179,000 16,353,000 17,254,000 17,833,000 17,382,000
Intangibles 9,360,000 9,245,000 9,159,000 9,308,000 9,278,000
Separate Account Assets 189,696,000 187,343,000 168,454,000 188,445,000 190,357,000
Other assets 746,727,000 734,049,000 704,488,000 714,557,000 714,082,000
Total Assets $780,492,000 $767,583,000 $737,741,000 $740,463,000 $742,812,000
Liabilities
Future Policy Benefits 224,351,000 216,860,000 212,192,000 214,781,000 213,332,000
Policyholder Funds 201,072,000 198,147,000 193,875,000 192,627,000 189,060,000
Long Term Debt 15,463,000 15,481,000 14,510,000 14,459,000 14,456,000
Separate Account Liabilities 189,696,000 187,343,000 168,454,000 188,445,000 190,357,000
Other liabilities 691,460,000 676,162,000 652,768,000 659,622,000 659,737,000
Total Liabilities $706,923,000 $691,643,000 $667,278,000 $674,081,000 $674,193,000
Shareholders' Equity
Shares Outstanding, K 899,949 907,663 907,589 915,828 919,631
Common Shares 12,000 12,000 12,000 12,000 12,000
Additional Paid Capital 33,744,000 33,728,000 33,711,000 32,680,000 32,639,000
Retained earnings 36,782,000 36,568,000 36,919,000 33,078,000 32,948,000
Treasury Shares 13,258,000 13,178,000 13,178,000 12,678,000 12,428,000
Other shareholders' equity 16,289,000 18,810,000 12,999,000 13,290,000 15,448,000
TOTAL $73,569,000 $75,940,000 $70,463,000 $66,382,000 $68,619,000
Total Liabilities And Equity $780,492,000 $767,583,000 $737,741,000 $740,463,000 $742,812,000
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