Brighthouse Financial - 股票

Brighthouse Financial 负债 2024

Brighthouse Financial 负债

-695 USD

股票代码

BHF

ISIN

US10922N1037

WKN

A2DUDM

在2024年,Brighthouse Financial的债务为-695 USD,与前一年-959 USD的总债务相比变动了-27.53%

Brighthouse Financial Aktienanalyse

Brighthouse Financial在做什么?

Brighthouse Financial Inc is an American insurance and investment management company headquartered in Charlotte, North Carolina. Founded in 2017, following the spin-off from MetLife Inc, Brighthouse Financial Inc specializes in the sale of life insurance and also offers investment management services and pension funds. The history of Brighthouse Financial Inc dates back to the need for a separate insurance division. In 2015, the decision was made to spin off the asset and life insurance business from MetLife Inc and operate it as a standalone company. The following year, the necessary steps were gradually taken to establish the new company, and Brighthouse Financial Inc was formally founded in March 2017. The business model of Brighthouse Financial Inc focuses on the sale of life insurance, annuities, and investment management services. The company also provides services related to pension funds. Brighthouse Financial's main focus is on annuities and life insurance, which it has been offering since its inception. The company offers a wide range of products tailored to the needs of customers, as well as the scope and type of coverage required. The life insurance and annuity products of Brighthouse Financial Inc are designed to increase customer and family protection as well as provide financial flexibility. The annuity products focus on regular monthly payments according to a selected payment plan agreed upon during the policy term. Brighthouse Financial Inc also offers investment management services. Customers who want to assemble their investments from a specific pool of asset classes such as stocks, bonds, investment funds, and other instruments often use these services to achieve regular retirement income while considering risk management, wealth accumulation, and asset allocation. Brighthouse Financial Inc also employs a wide range of professionals who support customers in assembling and optimizing their portfolios to increase revenue. These portfolios are a combination of different asset classes tailored to the customer's needs. Brighthouse Financial Inc also offers products that meet the need for financial protection against serious illnesses. These products enable customers to maintain their long-term financial independence and security. The company offers FreedomLife travel insurance, which focuses on covering risks during travel activities, as well as Extended Health Insurance products that provide comprehensive coverage for various serious illnesses. Overall, Brighthouse Financial offers a comprehensive range of insurance products, investment management, and pension funds. The company is headquartered in the USA but also operates internationally. Its goal is to provide effective solutions to meet individual customer requirements to ensure their quality of life and financial security. Brighthouse Financial ist eines der beliebtesten Unternehmen auf Eulerpool.com.

负债的详细信息

Brighthouse Financial的债务结构理解

Brighthouse Financial的总债务是指该公司欠外部各方的累积金融义务。这可能包括短期和长期贷款、债券、贷款和其他金融工具。评估公司的债务对于评估其财务状况,风险概况以及运营和扩展业务的能力至关重要。

年对年对比

通过对Brighthouse Financial多年债务结构的分析,可以洞察公司的财务策略和稳定性。债务的减少可能暗示了财务实力和运营效率,而债务的增加可能表明投资增长或潜在的财务挑战。

对投资的影响

投资者会密切关注Brighthouse Financial的债务,因为这会影响公司的风险和收益概况。过度的债务可能导致财务压力,而适度并且管理良好的债务可能是增长和扩张的催化剂。这使得债务成为投资评估的重要一环。

债务波动的解读

Brighthouse Financial债务水平的变化可能归因为各种运营和策略因素。债务的增加可能旨在资助扩张项目或提高运营能力,而债务的减少可能意味着利润的实现或是一种减小财务风险和杠杆效应的方法。

关于Brighthouse Financial股票的常见问题

Brighthouse Financial今年的债务有多高?

Brighthouse Financial今年的债务水平为-695 USD。

Brighthouse Financial的债务与去年相比有多高?

Brighthouse Financial的债务与去年相比增长了-27.53% 下降了

Brighthouse Financial的投资者高额债务会有什么后果?

对于Brighthouse Financial的投资者来说,高额债务可能构成风险,因为它会使公司的财务状况变得较弱,可能会影响其履行义务的能力。

Brighthouse Financial的投资者低债务会有什么后果?

低债务意味着Brighthouse Financial拥有强大的财务地位,并且能够履行其义务,而不会导致其财务负担过重。

Brighthouse Financial的债务增加对公司会有什么影响?

Brighthouse Financial的债务增加可能会影响公司的财务状况,从而导致其财务负担增加。

Brighthouse Financial的债务减少会对公司产生什么影响?

将Brighthouse Financial的债务降低可以增强公司的财务状况并提高其履行财务义务的能力。

Brighthouse Financial的债务受哪些因素影响?

影响Brighthouse Financial负债的一些因素可能包括投资、收购、运营成本和营业收入的发展。

为什么Brighthouse Financial的债务对投资者如此重要?

Brighthouse Financial的债务对投资者来说很重要,因为它是公司财务稳定性的指标,并且能向投资者提供有关公司如何履行其财务义务的信息。

Brighthouse Financial可以采取哪些战略措施来改变债务状况?

为了改变债务状况,Brighthouse Financial可以采取包括削减成本、增加收入、出售资产、接受投资或合作伙伴关系等措施。公司必须对其财务状况进行彻底审查,以确定最佳的战略措施来改变其债务状况。

Brighthouse Financial支付多少股息?

在过去的12个月中,Brighthouse Financial支付了 的股息。这相当于大约的股息收益率。在未来的12个月内,Brighthouse Financial预计将支付0 USD的股息。

Brighthouse Financial的股息收益率有多高?

Brighthouse Financial当前的股息收益率为。

Brighthouse Financial什么时候支付股息?

Brighthouse Financial按季度支付股息。这些股息将在月份分发。

Brighthouse Financial的股息有多安全?

Brighthouse Financial 在过去0年里每年都支付了股息。

Brighthouse Financial的股息有多高?

预计未来12个月的股息将达到0 USD。这相当于0 %的股息收益率。

Brighthouse Financial位于哪个行业?

Brighthouse Financial 被分配到“财务”板块。

Wann musste ich die Aktien von Brighthouse Financial kaufen, um die vorherige Dividende zu erhalten?

要获得Brighthouse Financial在支付的0 USD的最后一笔股息,你必须在的除息日之前持有该股票于你的账户中。

Brighthouse Financial最后一次支付股息是什么时候?

上一次股息发放日期为。

Brighthouse Financial在2023年的股息是多少?

在2023年,Brighthouse Financial 分配了0 USD作为股息。

Brighthouse Financial 的股息是以哪种货币支付的?

Brighthouse Financial的股息将以USD的形式分配。

股票储蓄计划为投资者提供了一种吸引人的方法,可以长期累积财富。主要优势之一是所谓的成本平均效应:通过定期投入固定金额于股票或股票基金,当价格低时自动买入更多份额,价格高时买入较少,这可能随着时间带来更优惠的平均每份成本。此外,股票储蓄计划还允许小额投资者接触到高价股票,因为他们可以用很小的金额参与其中。定期投资也促进了一种纪律投资策略,并有助于避免情绪化的决策,如冲动买卖。除此之外,投资者还能从股票的潜在增值以及可以再投资的股息分红中获益,这增强了复利效应,从而增加了投资资本的增长。

Andere Kennzahlen von Brighthouse Financial

我们对Brighthouse Financial 营业额股票的股票分析包括重要的财务指标,如收入、利润、市盈率、市销率、息税折旧摊销前利润,以及有关股息的信息。此外,我们还研究了诸如股票、市值、债务、股东权益和Brighthouse Financial 营业额的负债等方面。如果您在寻找关于这些主题的更详细信息,我们在子页面上提供了详细的分析: