Mirae Asset Life Insurance Co Ltd
KRX:085620

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Mirae Asset Life Insurance Co Ltd Logo
Mirae Asset Life Insurance Co Ltd
KRX:085620
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Price: 5 300 KRW Market Closed
Market Cap: 691.5B KRW
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Balance Sheet

Balance Sheet Decomposition
Mirae Asset Life Insurance Co Ltd

Cash & Short-Term Investments 702.5B
PP&E 101.4B
Long-Term Investments 30.4T
Other Assets 1.1T
Insurance Policy Liabilities 29T
Long Term Debt 318.2B
Other Liabilities 487.1B

Balance Sheet
Mirae Asset Life Insurance Co Ltd

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Balance Sheet
Currency: KRW
Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022
Assets
Cash & Cash Equivalents
193 761
282 847
337 426
292 624
226 863
233 779
285 435
171 129
91 656
398 283
Cash
11 595
5
5
5
7
5
0
0
0
0
Cash Equivalents
182 166
282 842
337 421
292 619
226 856
233 774
285 435
171 129
91 656
398 283
Total Receivables
385 536
417 362
451 325
483 131
638 434
617 302
711 236
824 736
866 867
894 440
Deferred Policy Acquisition Cost
659 671
567 186
515 732
464 257
467 548
429 156
410 228
454 821
549 719
553 079
Other Current Assets
0
0
0
18 855
9 950
10 191
17 285
20 562
27 100
30 944
Total Current Assets
385 536
417 362
451 325
501 986
648 384
627 493
728 521
845 298
893 967
925 384
PP&E Net
140 147
66 758
94 147
48 810
63 338
91 853
126 958
123 506
114 059
99 053
PP&E Gross
0
0
0
0
63 338
91 853
126 958
123 506
114 059
99 053
Accumulated Depreciation
0
0
0
0
87 944
61 821
62 477
76 837
78 404
72 606
Intangible Assets
26 651
21 770
23 171
16 453
172 544
120 171
113 464
93 839
75 999
61 710
Note Receivable
0
10 066
28 222
40 277
33 673
35 085
61 803
29 357
44 175
49 599
Long-Term Investments
12 558 754
14 862 285
16 320 916
17 404 145
19 018 775
19 682 051
20 402 012
20 396 383
20 221 290
19 067 104
Other Long-Term Assets
48 673
0
0
0
0
0
0
0
0
126 337
Other Assets
7 506 271
8 452 860
9 449 351
9 875 558
14 889 662
13 420 915
15 887 039
18 514 693
20 006 405
15 969 460
Total Assets
21 519 463
N/A
24 681 134
+15%
27 220 290
+10%
28 644 109
+5%
35 520 787
+24%
34 640 502
-2%
38 015 460
+10%
40 629 025
+7%
41 997 270
+3%
37 250 010
-11%
Liabilities
Insurance Policy Liabilities
19 398 102
21 982 270
24 426 326
25 800 952
32 936 168
32 029 069
34 906 591
37 565 959
39 032 999
34 395 973
Accrued Liabilities
59 784
67 107
73 184
76 832
96 267
85 024
97 362
104 112
113 205
114 837
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Other Current Liabilities
67 286
61 843
26 850
4 600
11 222
4 149
1 734
13 830
21 082
7 932
Total Current Liabilities
127 070
128 950
100 034
81 432
107 489
89 173
99 096
117 942
134 287
122 769
Long-Term Debt
307 444
305 974
305 953
135 956
129 004
199 279
232 787
229 634
523 546
1 012 016
Deferred Income Tax
860
87 024
68 329
73 376
70 570
3 053
96 321
66 316
41 723
0
Minority Interest
236
264
301
0
0
0
0
0
0
0
Other Liabilities
717 066
678 831
462 331
672 211
225 956
254 955
344 176
364 092
362 569
391 062
Total Liabilities
20 550 778
N/A
23 183 312
+13%
25 363 275
+9%
26 763 927
+6%
33 469 187
+25%
32 575 529
-3%
35 678 971
+10%
38 343 943
+7%
40 095 125
+5%
35 921 820
-10%
Equity
Common Stock
631 534
631 534
831 534
831 534
831 534
990 715
990 715
990 715
990 715
990 715
Retained Earnings
101 591
222 593
354 441
424 525
617 344
685 318
757 031
798 283
849 032
893 608
Additional Paid In Capital
210 307
210 211
300 809
324 545
300 830
181 405
181 405
181 405
181 384
181 384
Unrealized Security Profit/Loss
0
0
0
336 058
350 510
290 026
472 881
415 811
335 721
110 171
Treasury Stock
0
0
0
10 202
10 223
38 592
38 593
56 858
371 186
371 164
Other Equity
25 252
433 484
370 233
26 277
38 394
43 899
26 950
44 274
83 521
256 183
Total Equity
968 685
N/A
1 497 823
+55%
1 857 015
+24%
1 880 182
+1%
2 051 600
+9%
2 064 974
+1%
2 336 489
+13%
2 285 083
-2%
1 902 145
-17%
1 328 189
-30%
Total Liabilities & Equity
21 519 463
N/A
24 681 134
+15%
27 220 290
+10%
28 644 109
+5%
35 520 787
+24%
34 640 502
-2%
38 015 460
+10%
40 629 025
+7%
41 997 270
+3%
37 250 010
-11%
Shares Outstanding
Common Shares Outstanding
105
105
145
143
143
138
138
133
130
130
Preferred Shares Outstanding
28
28
28
21
21
21
21
21
21
0

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