Below are the financial statements of AIA Group, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in billions of USD | 2024 | 2023 |
---|---|---|
Assets | — | — |
Intangible assets | 3.48a | 3.62a |
Investments in associates and joint ventures | 1.71a | 1.33a |
Property, plant and equipment | 4.45a | 4.06a |
Investment property | 4.57a | 4.5a |
Insurance contract assets | 0.97a | 1.46a |
Reinsurance contract assets | 5.73a | 6.05a |
At amortised cost | — | — |
Debt securities | 2.4a | 2.17a |
Loans and deposits | 3.77a | 3.72a |
Debt securities | 98.29a | 88.61a |
At fair value through profit or loss | — | — |
Debt securities | 77.53a | 86.98a |
Loans and deposits | 0.27a | 0.27a |
Equity shares | 19.8a | 19.29a |
Interests in investment funds and exchangeable loan notes | 69.04a | 47.17a |
Derivative financial instruments | 1.05a | 0.75a |
Financial investments | 272.15a | 248.96a |
Deferred tax assets | 0.55a | 0.3a |
Current tax recoverable | 0.22a | 0.21a |
Other assets | 3.53a | 4.32a |
Cash and cash equivalents | 8.1a | 11.53a |
Total assets | 305.45a | 286.32a |
Liabilities | — | — |
Insurance contract liabilities | 221.41a | 203.27a |
Reinsurance contract liabilities | 0.26a | 0.34a |
Investment contract liabilities | 6.97a | 9.17a |
Borrowings | 13.33a | 11.8a |
Obligations under repurchase agreements | 4.62a | 3.46a |
Derivative financial instruments | 8.62a | 8.04a |
Provisions | 0.2a | 0.17a |
Deferred tax liabilities | 4.12a | 3.2a |
Current tax liabilities | 0.22a | 0.39a |
Other liabilities | 4.91a | 4.89a |
Total liabilities | 264.64a | 244.73a |
Equity | — | — |
Share capital | 14.18a | 14.18a |
Employee share-based trusts | -0.38a | -0.37a |
Other reserves | -11.73a | -11.79a |
Retained earnings | 44.69a | 44.33a |
Other comprehensive income | -6.28a | -5.24a |
Shareholders of AIA Group Limited | 40.49a | 41.11a |
Non-controlling interests | 0.32a | 0.48a |
Total equity | 40.81a | 41.59a |
Total liabilities and equity | 305.45a | 286.32a |
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