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Last updated: April 2026

ASRNL FINANCIAL STATEMENTS

ASR Nederland NV — balance sheet, income statement and cash flow trends

ASRNLASR Nederland NV

🇳🇱 Netherlands · AS · Financial Services · Insurance - Diversified

Value itDuel
PriceFinancialsPeers

Income Statement

Quarterly progression — trailing-twelve-month values
RevenueNet Income
-10 B010 B20 B202020212022202320242025

Profit Funnel

Q2 2025 · TTM
Revenue21.2 B €Gross Profit21.2 B € · 100%Operating Income702 M € · 3%Pre-tax Income696 M € · 3%Net Income582 M € · 3%

Percentages are relative to revenue.

Key Figures

YoY change
Revenue21.2 B €—
Gross Profit21.2 B €—
Operating Income702 M €—
EBITDA6.7 B €—
Net Income582 M €—

Peer Comparison· Insurance - Diversified

CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
ASRNL———2.7%
MAP———4.3%
IAG———9.9%
ACGL———24.7%
HIG———14.1%
AIG———11.9%
Industry median———9.0%
CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
ASRNL———2.7%
AGN———3.6%
NN———8.3%
Industry median———9.0%

Balance Sheet

Quarterly period-end values
Total AssetsTotal LiabilitiesEquity
050 B100 B150 B202020212022202320242025

Capital Structure

Q2 2025
Total Assets142.2 B
  • Equity8.6 B €5%
  • Current Liabilities16.1 B €10%
  • Long-term Liabilities133.5 B €84%

Key Figures

YoY change
Total Assets142.2 B €+129.6%
Total Liabilities133.5 B €+139.6%
Total Equity8.6 B €+39.9%
Cash & ST Investments2.7 B €-36.9%
Total Debt10.4 B €+133.9%
Net Debt7.7 B €+248.8%

Peer Comparison· Insurance - Diversified

CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
ASRNL0.19121.1%1.156.1%
MAP—40.4%2.9412.6%
IAG0.6018.5%-0.866.4%
ACGL0.6811.3%-1.6329.7%
HIG18.1723.1%-0.0021.9%
AIG0.8322.7%-3.3225.0%
Industry median0.8323.1%-0.0911.4%
CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
ASRNL0.19121.1%1.156.1%
AGN—74.4%1.992.4%
NN0.0865.0%107.1310.3%
Industry median0.8323.1%-0.0911.4%

Cash Flow Statement

Quarterly progression — trailing-twelve-month values
Operating Cash FlowCapital ExpendituresFree Cash Flow
02 B202020212022202320242025

Cash Flow Bridge

Q2 2025 · TTM
-1.5 B-1 B-500 M0-569 M €Operating-25 M €Investing-900 M €Financing-1.5 B €Net Change

Key Figures

YoY change
Operating Cash Flow-569 M €—
Capital Expenditures18 M €-90.5%
Free Cash Flow-587 M €—
Dividends Paid-667 M €—

Peer Comparison· Insurance - Diversified

CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
ASRNL-2.7%-2.8%0.1%-97.8%
MAP——0.0%—
IAG28.5%26.0%2.4%288.4%
ACGL30.0%29.7%0.2%121.1%
HIG20.8%20.2%0.6%147.3%
AIG13.2%13.2%0.0%111.5%
Industry median13.2%13.2%0.2%100.0%
CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
ASRNL-2.7%-2.8%0.1%-97.8%
AGN3.5%3.3%0.2%95.0%
NN-16.4%-16.4%0.0%-197.5%
Industry median13.2%13.2%0.2%100.0%

Amounts are in the company’s reporting currency. Peer comparison tables use ratio-based metrics so currency differences do not distort the picture.

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Data on this page refreshes once per day. Price data as of Jul 6, 26. This content is for informational purposes only and is not investment advice.