7Baggers

Prudential Financial Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Cash and Cash Eq  
 Long-Term Debt  
 Short-Term Debt  
20200331 20200630 20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20240331 20240630 20240930 20250331 20250630 04.529.0413.5618.0822.627.1331.65Billion

Prudential Financial Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2018-03-31 2017-09-30 2017-06-30 2017-03-31 2016-09-30 2016-06-30 2015-09-30 2015-06-30 2015-03-31 2014-06-30 2014-03-31 
                                      
  assets                                    
  fixed maturities, available-for-sale, at fair value328,302,000,000 315,914,000,000 340,730,000,000 311,092,000,000 318,510,000,000 295,318,000,000 312,230,000,000 320,512,000,000 307,719,000,000 295,841,000,000 306,655,000,000 344,957,000,000 372,410,000,000 373,252,000,000 382,981,000,000 378,596,000,000 412,905,000,000 400,816,000,000 407,944,000,000 389,714,000,000 391,657,000,000 383,390,000,000 365,928,000,000 340,970,000,000 341,151,000,000 347,630,000,000 340,100,000,000 335,254,000,000 328,717,000,000 343,244,000,000 332,270,000,000 290,778,000,000 290,063,000,000 299,422,000,000 304,472,000,000 295,321,000,000 
  fixed maturities, trading, at fair value14,020,000,000 13,278,000,000 12,065,000,000 10,250,000,000 10,288,000,000 7,129,000,000 6,349,000,000 6,269,000,000 5,951,000,000 5,690,000,000 6,272,000,000 7,724,000,000 8,823,000,000 9,548,000,000 6,567,000,000 6,202,000,000 3,914,000,000 4,371,000,000 3,933,000,000 3,621,000,000 3,779,000,000 3,755,000,000 3,435,000,000 3,083,000,000 2,916,000,000 2,885,000,000           
  assets supporting experience-rated contractholder liabilities, at fair value4,282,000,000 3,769,000,000 3,654,000,000 3,351,000,000 3,359,000,000 2,943,000,000 3,019,000,000 2,958,000,000 2,844,000,000 2,580,000,000 2,785,000,000 3,184,000,000 3,358,000,000 3,424,000,000 24,596,000,000 24,027,000,000 24,115,000,000 23,961,000,000 23,245,000,000 21,580,000,000 22,267,000,000 21,843,000,000 21,668,000,000 21,083,000,000 21,497,000,000 21,637,000,000           
  equity securities, at fair value7,434,000,000 8,720,000,000 6,771,000,000 7,098,000,000 7,224,000,000 7,039,000,000 8,359,000,000 7,573,000,000 7,150,000,000 6,882,000,000 6,402,000,000 7,397,000,000 8,574,000,000 7,727,000,000 8,018,000,000 8,492,000,000 8,135,000,000 7,025,000,000 7,010,000,000 6,176,000,000 7,014,000,000 6,804,000,000 6,778,000,000 7,058,000,000 7,191,000,000 7,289,000,000           
  commercial mortgage and other loans62,966,000,000 62,694,000,000 62,573,000,000 60,243,000,000 58,781,000,000 57,908,000,000 57,689,000,000 56,778,000,000 56,745,000,000 56,896,000,000 56,840,000,000 59,304,000,000 58,666,000,000 57,786,000,000 64,359,000,000 64,554,000,000 65,425,000,000 64,541,000,000 63,469,000,000 63,559,000,000 61,833,000,000 61,228,000,000 60,875,000,000 59,336,000,000 58,622,000,000 58,098,000,000 55,373,000,000 54,915,000,000 53,660,000,000 52,273,000,000 51,447,000,000 50,048,000,000 48,569,000,000 47,478,000,000 42,964,000,000 42,392,000,000 
  policy loans9,946,000,000 9,876,000,000 9,947,000,000 9,739,000,000 9,907,000,000 9,959,000,000 9,983,000,000 10,041,000,000 10,046,000,000 9,920,000,000 10,024,000,000 10,207,000,000 10,386,000,000 10,471,000,000 10,652,000,000 10,990,000,000 11,271,000,000 11,502,000,000 12,283,000,000 12,099,000,000 12,022,000,000 12,030,000,000 11,986,000,000 11,928,000,000 11,935,000,000 12,036,000,000 11,765,000,000 11,719,000,000 11,893,000,000 12,031,000,000 11,930,000,000 11,624,000,000 11,652,000,000 11,693,000,000 11,966,000,000 11,833,000,000 
  other invested assets27,256,000,000 26,739,000,000 25,367,000,000 24,634,000,000 24,227,000,000 21,868,000,000 21,473,000,000 21,491,000,000 21,099,000,000 21,050,000,000 21,310,000,000 21,540,000,000 21,833,000,000 20,205,000,000 20,384,000,000 18,863,000,000 18,125,000,000 16,921,000,000 16,757,000,000 18,071,000,000 15,654,000,000 15,081,000,000 14,840,000,000 13,790,000,000 13,459,000,000 14,044,000,000           
  short-term investments6,375,000,000 8,716,000,000 8,010,000,000 6,241,000,000 5,953,000,000 5,072,000,000 5,059,000,000 5,177,000,000 4,591,000,000 5,181,000,000 6,828,000,000 4,592,000,000 6,635,000,000 4,733,000,000 6,325,000,000 5,304,000,000 7,800,000,000 10,015,000,000 11,416,000,000 7,961,000,000 7,320,000,000 5,872,000,000 6,911,000,000 5,767,000,000 5,728,000,000 5,752,000,000 5,508,000,000 3,616,000,000 5,175,000,000 5,254,000,000 5,035,000,000 7,937,000,000 5,669,000,000 5,947,000,000 5,663,000,000 6,023,000,000 
  total investments460,581,000,000 449,706,000,000 469,117,000,000 432,648,000,000 438,249,000,000 407,236,000,000 425,332,000,000 432,076,000,000 417,441,000,000 405,239,000,000 418,396,000,000 460,337,000,000 492,199,000,000 488,790,000,000 525,544,000,000 518,829,000,000 553,620,000,000 541,053,000,000 547,932,000,000 524,676,000,000 523,504,000,000 512,012,000,000 494,403,000,000 464,972,000,000 464,519,000,000 471,491,000,000 464,891,000,000 458,401,000,000 450,887,000,000 465,771,000,000 451,880,000,000 416,950,000,000 411,944,000,000 420,875,000,000 419,319,000,000 408,468,000,000 
  cash and cash equivalents16,638,000,000 16,063,000,000 20,198,000,000 17,111,000,000 18,735,000,000 16,892,000,000 14,652,000,000 17,425,000,000 17,251,000,000 20,104,000,000 14,359,000,000 14,086,000,000 12,888,000,000 15,605,000,000 15,145,000,000 16,099,000,000 13,701,000,000 20,658,000,000 21,149,000,000 31,646,000,000 18,289,000,000 15,421,000,000 14,699,000,000 12,466,000,000 14,918,000,000 15,676,000,000 14,541,000,000 16,605,000,000 13,308,000,000 24,728,000,000 24,142,000,000 20,207,000,000 17,038,000,000 19,119,000,000 12,160,000,000 12,472,000,000 
  accrued investment income3,560,000,000 3,383,000,000 3,566,000,000 3,434,000,000 3,361,000,000 3,191,000,000 3,142,000,000 3,095,000,000 3,012,000,000 2,888,000,000 2,798,000,000 2,838,000,000 2,855,000,000 2,808,000,000 3,037,000,000 3,063,000,000 3,193,000,000 3,129,000,000 3,296,000,000 3,221,000,000 3,248,000,000 3,355,000,000 3,233,000,000 3,180,000,000 3,235,000,000 3,169,000,000 3,278,000,000 3,228,000,000 3,231,000,000 3,279,000,000 3,211,000,000 3,156,000,000 3,117,000,000 3,135,000,000 3,162,000,000 3,134,000,000 
  deferred policy acquisition costs21,222,000,000 20,790,000,000 21,182,000,000 20,564,000,000 20,613,000,000 20,394,000,000 20,320,000,000 20,741,000,000 19,537,000,000 19,334,000,000 18,632,000,000 18,479,000,000 18,192,000,000 18,067,000,000 19,029,000,000 19,273,000,000 19,027,000,000 18,599,000,000 19,667,000,000 19,738,000,000 19,484,000,000 19,540,000,000 19,978,000,000 19,789,000,000 19,643,000,000 19,649,000,000 18,724,000,000 18,715,000,000 18,197,000,000 16,975,000,000 16,152,000,000 16,206,000,000 16,569,000,000 15,639,000,000 16,669,000,000 16,617,000,000 
  value of business acquired450,000,000 446,000,000 488,000,000 446,000,000 484,000,000 514,000,000 542,000,000 601,000,000 595,000,000 532,000,000 571,000,000 714,000,000 771,000,000 815,000,000 1,057,000,000 1,006,000,000 1,103,000,000 1,131,000,000 1,040,000,000 1,070,000,000 1,106,000,000 1,227,000,000 1,575,000,000 1,962,000,000 2,027,000,000 1,995,000,000 1,817,000,000 1,897,000,000 2,266,000,000 2,159,000,000 1,951,000,000 2,847,000,000 2,994,000,000 2,514,000,000 3,499,000,000 3,610,000,000 
  market risk benefit assets2,188,000,000 2,139,000,000 2,134,000,000 2,233,000,000 2,225,000,000 2,200,000,000 1,951,000,000 976,000,000                             
  reinsurance recoverables and deposit receivables44,152,000,000 43,982,000,000 29,633,000,000 27,746,000,000 27,929,000,000                                
  income tax assets839,000,000 300,000,000 479,000,000 856,000,000 958,000,000 1,108,000,000 803,000,000  4,214,000,000 3,831,000,000 696,000,000                          
  other assets14,561,000,000 14,262,000,000 12,947,000,000 13,299,000,000 13,205,000,000 39,077,000,000 29,691,000,000 32,061,000,000 30,188,000,000 31,303,000,000 34,534,000,000 9,852,000,000 10,739,000,000 20,735,000,000 21,957,000,000 22,567,000,000 22,801,000,000 21,536,000,000 21,301,000,000 20,694,000,000 18,761,000,000 18,690,000,000 18,192,000,000 16,938,000,000 16,860,000,000 17,112,000,000 16,770,000,000 16,311,000,000 15,671,000,000 15,403,000,000 14,322,000,000 14,545,000,000 14,728,000,000 14,624,000,000 13,927,000,000 14,273,000,000 
  separate account assets194,761,000,000 188,191,000,000 200,550,000,000 196,859,000,000 200,064,000,000 190,642,000,000 200,871,000,000 202,294,000,000 197,679,000,000 194,525,000,000 205,613,000,000 229,621,000,000 246,145,000,000 241,852,000,000 340,692,000,000 326,443,000,000 327,277,000,000 305,483,000,000 301,002,000,000 272,667,000,000 301,234,000,000 303,580,000,000 297,244,000,000 303,441,000,000 298,658,000,000 300,585,000,000 301,110,000,000 297,433,000,000 293,805,000,000 291,550,000,000 284,832,000,000 280,616,000,000 296,341,000,000 302,706,000,000 296,801,000,000 288,161,000,000 
  total assets758,952,000,000 739,262,000,000 760,294,000,000 715,196,000,000 725,823,000,000 681,254,000,000 697,304,000,000 709,269,000,000 689,917,000,000 677,756,000,000 695,599,000,000 878,066,000,000 937,582,000,000 932,582,000,000 926,461,000,000 907,280,000,000 940,722,000,000 911,589,000,000 915,387,000,000 873,712,000,000 885,626,000,000 873,825,000,000 849,324,000,000 822,748,000,000 819,860,000,000 829,677,000,000 821,131,000,000 812,590,000,000 797,365,000,000 819,865,000,000 796,490,000,000 754,527,000,000 762,731,000,000 778,612,000,000 765,537,000,000 746,735,000,000 
  liabilities, mezzanine equity and equity                                    
  liabilities                                    
  future policy benefits270,133,000,000 269,969,000,000 285,474,000,000 262,330,000,000 272,790,000,000 253,551,000,000 268,649,000,000 273,586,000,000 284,452,000,000 278,262,000,000 275,096,000,000 284,380,000,000 290,784,000,000 291,721,000,000 289,233,000,000 290,536,000,000 306,343,000,000 303,733,000,000 312,759,000,000 310,817,000,000 291,742,000,000 285,527,000,000 277,085,000,000 260,797,000,000 260,435,000,000 261,144,000,000 252,339,000,000 250,706,000,000 244,705,000,000 252,228,000,000 242,950,000,000 222,220,000,000 216,555,000,000 220,840,000,000 215,219,000,000 211,540,000,000 
  policyholders’ account balances180,931,000,000 170,278,000,000 164,088,000,000 154,991,000,000 151,810,000,000 140,788,000,000 138,743,000,000 138,139,000,000 135,602,000,000 131,679,000,000 130,352,000,000 122,465,000,000 122,633,000,000 122,337,000,000 159,548,000,000 160,227,000,000 161,682,000,000 159,346,000,000 158,237,000,000 155,898,000,000 152,527,000,000 151,428,000,000 151,224,000,000 149,130,000,000 149,359,000,000 149,917,000,000 148,342,000,000 147,554,000,000 147,026,000,000 146,577,000,000 142,716,000,000 136,620,000,000 135,630,000,000 135,143,000,000 138,545,000,000 137,244,000,000 
  market risk benefit liabilities4,859,000,000 5,021,000,000 5,178,000,000 4,592,000,000 4,624,000,000 4,660,000,000 5,462,000,000 6,096,000,000                             
  policyholders’ dividends957,000,000 916,000,000 2,089,000,000 746,000,000 1,111,000,000 657,000,000 1,058,000,000 1,487,000,000 694,000,000 665,000,000 2,256,000,000 5,585,000,000 8,731,000,000 8,448,000,000 8,555,000,000 7,168,000,000 9,524,000,000 8,978,000,000 8,623,000,000 6,396,000,000 7,548,000,000 6,558,000,000 5,360,000,000 4,512,000,000 4,858,000,000 5,446,000,000 6,327,000,000 6,285,000,000 5,896,000,000 7,482,000,000 7,295,000,000 6,153,000,000 6,528,000,000 8,337,000,000 7,186,000,000 6,519,000,000 
  securities sold under agreements to repurchase8,205,000,000 7,549,000,000 7,455,000,000 6,929,000,000 6,563,000,000 5,547,000,000 6,097,000,000 6,617,000,000 6,589,000,000 8,223,000,000 8,006,000,000 9,085,000,000 10,185,000,000 9,899,000,000 9,557,000,000 9,384,000,000 10,894,000,000 10,874,000,000 10,488,000,000 10,557,000,000 9,241,000,000 9,741,000,000 9,873,000,000 9,176,000,000 9,540,000,000 8,633,000,000 8,145,000,000 8,817,000,000 8,535,000,000 6,830,000,000 7,335,000,000 8,107,000,000 7,863,000,000 7,766,000,000 8,786,000,000 8,348,000,000 
  cash collateral for loaned securities9,167,000,000 9,507,000,000 8,471,000,000 7,050,000,000 6,978,000,000 6,067,000,000 5,207,000,000 5,975,000,000 6,100,000,000 5,865,000,000 5,741,000,000 4,771,000,000 4,251,000,000 4,382,000,000 4,431,000,000 4,673,000,000 3,499,000,000 3,071,000,000 3,447,000,000 3,396,000,000 4,728,000,000 4,235,000,000 4,093,000,000 4,656,000,000 4,307,000,000 4,312,000,000 4,697,000,000 4,036,000,000 4,175,000,000 5,037,000,000 4,643,000,000 4,241,000,000 3,808,000,000 4,437,000,000 4,889,000,000 5,282,000,000 
  reinsurance and funds withheld payables17,126,000,000 17,347,000,000 17,443,000,000 15,604,000,000 15,746,000,000                                
  short-term debt1,373,000,000 1,406,000,000 950,000,000 588,000,000 585,000,000 615,000,000 763,000,000 705,000,000 775,000,000 767,000,000 558,000,000 544,000,000 722,000,000 909,000,000 909,000,000 867,000,000 925,000,000 1,113,000,000 1,130,000,000 2,539,000,000 1,490,000,000 2,659,000,000 2,549,000,000 2,393,000,000 2,056,000,000 1,383,000,000 2,358,000,000 1,779,000,000 1,415,000,000 907,000,000 676,000,000 1,833,000,000 3,621,000,000 3,013,000,000 3,804,000,000 4,019,000,000 
  long-term debt18,651,000,000 19,540,000,000 19,076,000,000 19,353,000,000 19,368,000,000 18,877,000,000 18,876,000,000 20,451,000,000 19,908,000,000 19,898,000,000 19,612,000,000 19,689,000,000 18,622,000,000 18,687,000,000 19,670,000,000 19,730,000,000 19,718,000,000 20,169,000,000 20,162,000,000 20,149,000,000 19,151,000,000 17,841,000,000 18,309,000,000 17,421,000,000 16,732,000,000 18,143,000,000 17,153,000,000 17,626,000,000 17,893,000,000 18,758,000,000 18,986,000,000 20,329,000,000 20,264,000,000 19,703,000,000 23,488,000,000 22,565,000,000 
  other liabilities17,915,000,000 15,873,000,000 15,489,000,000 14,875,000,000 15,638,000,000 32,112,000,000 21,721,000,000 20,540,000,000 20,536,000,000 20,474,000,000 19,215,000,000 10,230,000,000 11,755,000,000 20,230,000,000 19,702,000,000 19,855,000,000 20,323,000,000 18,579,000,000 18,573,000,000 17,853,000,000 17,754,000,000 17,372,000,000 16,881,000,000 16,196,000,000 16,498,000,000 17,689,000,000 16,069,000,000 15,907,000,000 14,164,000,000 15,474,000,000 14,645,000,000 13,624,000,000 13,135,000,000 12,873,000,000 11,935,000,000 13,232,000,000 
  notes issued by consolidated variable interest entities1,758,000,000 1,443,000,000 1,456,000,000 1,174,000,000 1,132,000,000 791,000,000 402,000,000 415,000,000 374,000,000 218,000,000 232,000,000 260,000,000 274,000,000 282,000,000 284,000,000 285,000,000 305,000,000 1,242,000,000 1,197,000,000 1,251,000,000 1,233,000,000 1,246,000,000 1,225,000,000 930,000,000 937,000,000 954,000,000 1,517,000,000 2,176,000,000 2,179,000,000 2,722,000,000 2,094,000,000 8,370,000,000 7,455,000,000 6,830,000,000 4,573,000,000 4,101,000,000 
  separate account liabilities194,761,000,000 188,191,000,000 200,550,000,000 196,859,000,000 200,064,000,000 190,642,000,000 200,871,000,000 202,294,000,000 197,679,000,000 194,525,000,000 205,613,000,000 229,621,000,000 246,145,000,000 241,852,000,000 340,692,000,000 326,443,000,000 327,277,000,000 305,483,000,000 301,002,000,000 272,667,000,000 301,234,000,000 303,580,000,000 297,244,000,000 303,441,000,000 298,658,000,000 300,585,000,000 301,110,000,000 297,433,000,000 293,805,000,000 291,550,000,000 284,832,000,000 280,616,000,000 296,341,000,000 302,706,000,000 296,801,000,000 288,161,000,000 
  total liabilities725,836,000,000 707,040,000,000 727,719,000,000 685,091,000,000 696,409,000,000 654,307,000,000 667,849,000,000 676,822,000,000 672,709,000,000 660,576,000,000 666,681,000,000 833,388,000,000 874,974,000,000 870,023,000,000 862,777,000,000 848,504,000,000 872,512,000,000 844,699,000,000 848,879,000,000 812,640,000,000 819,312,000,000 811,672,000,000 793,874,000,000 775,666,000,000 771,268,000,000 777,502,000,000 770,566,000,000 763,950,000,000 750,391,000,000 762,891,000,000 741,312,000,000 711,757,000,000 720,439,000,000 733,038,000,000 723,730,000,000 707,871,000,000 
  commitments and contingent liabilities                                    
  mezzanine equity                                    
  redeemable noncontrolling interests2,213,000,000 2,019,000,000 560,000,000 545,000,000 544,000,000                                
  total mezzanine equity2,213,000,000 2,019,000,000 560,000,000 545,000,000 544,000,000                                
  equity                                    
  preferred stock    
  common stock6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 
  additional paid-in capital25,927,000,000 25,871,000,000 25,850,000,000 25,802,000,000 25,741,000,000 25,714,000,000 25,676,000,000 25,643,000,000 25,747,000,000 25,707,000,000 25,661,000,000 25,659,000,000 25,732,000,000 25,680,000,000 25,644,000,000 25,579,000,000 25,584,000,000 25,563,000,000 25,513,000,000 25,506,000,000 25,351,000,000 24,825,000,000 24,782,000,000 24,810,000,000 24,763,000,000 24,722,000,000 24,721,000,000 24,671,000,000 24,627,000,000 24,520,000,000 24,457,000,000 24,348,000,000 24,397,000,000 24,346,000,000 24,478,000,000 24,435,000,000 
  common stock held in treasury, at cost-24,886,000,000 -24,661,000,000 -24,310,000,000 -24,088,000,000 -23,891,000,000 -23,568,000,000 -23,355,000,000 -23,147,000,000 -23,068,000,000 -22,736,000,000 -22,391,000,000 -22,051,000,000 -21,838,000,000 -21,522,000,000 -20,687,000,000 -19,878,000,000 -19,652,000,000 -19,725,000,000 -19,785,000,000 -19,841,000,000 -19,386,000,000 -18,416,000,000 -17,962,000,000 -17,246,000,000 -16,905,000,000 -16,557,000,000 -16,012,000,000 -15,741,000,000 -15,475,000,000 -14,989,000,000 -14,432,000,000 -13,612,000,000 -13,398,000,000 -13,233,000,000 -12,723,000,000 -12,533,000,000 
  accumulated other comprehensive income-3,921,000,000 -4,741,000,000 -4,844,000,000 -7,444,000,000 -7,661,000,000 -7,831,000,000 -6,649,000,000 -3,825,000,000 -19,827,000,000 -20,874,000,000 -10,178,000,000 4,205,000,000 21,324,000,000 21,836,000,000 23,277,000,000 19,219,000,000 30,738,000,000 30,001,000,000 30,837,000,000 22,600,000,000 27,558,000,000 23,982,000,000 17,218,000,000 9,150,000,000 11,655,000,000 14,761,000,000 16,598,000,000 16,362,000,000 14,643,000,000 24,925,000,000 24,667,000,000 13,463,000,000 13,404,000,000 17,752,000,000 13,077,000,000 10,798,000,000 
  retained earnings33,456,000,000 33,408,000,000 33,714,000,000 33,737,000,000 33,014,000,000 31,493,000,000 32,756,000,000 32,708,000,000 33,392,000,000 34,399,000,000 35,137,000,000 36,159,000,000 36,652,000,000 35,887,000,000 34,808,000,000 33,110,000,000 30,749,000,000 30,372,000,000 29,326,000,000 32,176,000,000 32,269,000,000 31,263,000,000 30,966,000,000 30,005,000,000 28,713,000,000 28,898,000,000 25,060,000,000 23,146,000,000 22,983,000,000 21,969,000,000 20,451,000,000 18,515,000,000 17,314,000,000 16,173,000,000 16,357,000,000 15,517,000,000 
  total prudential financial, inc. equity30,582,000,000 29,883,000,000 30,416,000,000 28,013,000,000 27,209,000,000 25,814,000,000 28,434,000,000 31,385,000,000 16,250,000,000 16,502,000,000 28,235,000,000 43,978,000,000 61,876,000,000 61,887,000,000 63,048,000,000 58,036,000,000 67,425,000,000 66,217,000,000 65,897,000,000 60,447,000,000 65,798,000,000 61,660,000,000 55,010,000,000 46,725,000,000 48,232,000,000 51,830,000,000 50,373,000,000 48,444,000,000 46,784,000,000 56,431,000,000 55,149,000,000 42,720,000,000 41,723,000,000 45,044,000,000 41,195,000,000 38,223,000,000 
  noncontrolling interests321,000,000 320,000,000 1,599,000,000 1,547,000,000 1,661,000,000 1,133,000,000 1,021,000,000 1,062,000,000 958,000,000 678,000,000 683,000,000 700,000,000 732,000,000 672,000,000 636,000,000 740,000,000 785,000,000 673,000,000 611,000,000 625,000,000 516,000,000 493,000,000 440,000,000 357,000,000 360,000,000 345,000,000 192,000,000 196,000,000 190,000,000 543,000,000 29,000,000 50,000,000 569,000,000 530,000,000 612,000,000 641,000,000 
  total equity30,903,000,000 30,203,000,000 32,015,000,000 29,560,000,000 28,870,000,000 26,947,000,000 29,455,000,000 32,447,000,000 17,208,000,000 17,180,000,000 28,918,000,000 44,678,000,000 62,608,000,000 62,559,000,000 63,684,000,000 58,776,000,000 68,210,000,000 66,890,000,000 66,508,000,000 61,072,000,000 66,314,000,000 62,153,000,000 55,450,000,000 47,082,000,000 48,592,000,000 52,175,000,000 50,565,000,000 48,640,000,000 46,974,000,000 56,974,000,000 55,178,000,000 42,770,000,000 42,292,000,000 45,574,000,000 41,807,000,000 38,864,000,000 
  total liabilities, mezzanine equity and equity758,952,000,000 739,262,000,000 760,294,000,000 715,196,000,000 725,823,000,000                                
  preferred stock 0.01 par value; 10,000,000 shares authorized; none issued)                                
  fixed maturities, held-to-maturity, at amortized cost, net of allowance for credit losses     1,171,000,000 1,277,000,000 1,296,000,000 1,199,000,000 1,280,000,000 1,432,000,000 1,514,000,000 1,644,000,000                       
  liabilities and equity                                    
  income tax liabilities                                
  total liabilities and equity     681,254,000,000 697,304,000,000 709,269,000,000 689,917,000,000 677,756,000,000 695,599,000,000 878,066,000,000 937,582,000,000 932,582,000,000 926,461,000,000 907,280,000,000 940,722,000,000 911,589,000,000 915,387,000,000 873,712,000,000 885,626,000,000 873,825,000,000 849,324,000,000 822,748,000,000 819,860,000,000 829,677,000,000 821,131,000,000 812,590,000,000 797,365,000,000 819,865,000,000 796,490,000,000 754,527,000,000 762,731,000,000 778,612,000,000 765,537,000,000 746,735,000,000 
  income taxes       517,000,000   4,501,000,000 9,513,000,000 10,540,000,000 10,196,000,000 9,336,000,000 12,022,000,000 12,111,000,000 13,261,000,000 11,117,000,000 12,664,000,000 11,485,000,000 10,031,000,000 7,014,000,000 7,888,000,000 9,296,000,000 12,509,000,000 11,631,000,000 10,598,000,000 15,326,000,000 15,140,000,000 9,644,000,000 9,239,000,000 11,390,000,000 8,504,000,000 6,860,000,000 
  assets held-for-sale        142,139,000,000 153,793,000,000 143,910,000,000                       
  liabilities held-for-sale        142,257,000,000 151,359,000,000 140,736,000,000                       
  fixed maturities, held-to-maturity, at amortized cost              1,662,000,000 1,801,000,000 1,930,000,000 1,901,000,000 1,875,000,000 1,895,000,000 1,958,000,000 2,009,000,000 1,982,000,000 1,957,000,000 2,020,000,000 2,120,000,000 2,084,000,000 2,123,000,000 2,166,000,000 2,471,000,000 2,485,000,000 2,380,000,000 2,396,000,000 2,513,000,000 3,171,000,000 3,275,000,000 
  see note 4 for details of balances associated with variable interest entities.                                    
  trading account assets supporting insurance liabilities, at fair value                          22,126,000,000 22,073,000,000 21,820,000,000 21,828,000,000 21,702,000,000 20,408,000,000 20,267,000,000 20,626,000,000 21,273,000,000 20,935,000,000 
  other trading account assets, at fair value                          6,210,000,000 6,773,000,000 5,863,000,000 7,559,000,000 7,268,000,000 14,075,000,000 12,749,000,000 11,989,000,000 8,665,000,000 8,021,000,000 
  equity securities, available-for-sale, at fair value                          9,739,000,000 10,151,000,000 10,143,000,000 9,765,000,000 9,496,000,000 9,109,000,000 9,901,000,000 10,206,000,000 10,222,000,000 10,191,000,000 
  other long-term investments                          11,986,000,000 11,777,000,000 11,450,000,000 11,346,000,000 10,247,000,000 10,591,000,000 10,678,000,000 11,001,000,000 10,923,000,000 10,477,000,000 
  see note 5 for details of balances associated with variable interest entities.                                    
  class b stock                                
  class b stock held in treasury, at cost                                 
  class b stock (.01 par value; 0 shares authorized and issued at march 31, 2015; 10,000,000 shares authorized and 2,000,000 shares issued at december 31, 2014                                   

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