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Anthem Inc. logo
no logo available
General Information
Investor relations pageIR page no data available
Founding year no data available
Headquarter Indianapolis, United States of AmericaIndianapolis, United States of Americano data available
Employees 53,000 (as per Q3 2016)no data available
Sector Health Care Plans, HealthcareHealth Care Plans, Healthcareno data available
Ticker ANTMno data available
Financial year endsFY ends End of Decemberno data available
Stock Information (historical prices adjusted for splits and dividends)
Adj. Closing prices (in USD) -Common sharesNov. 16Jan. 17März 17Mai 17Juli 17Sep. 17100125150175200
datesClosing price (adj.)
13.10.2017183.83
11.10.2017189.89
04.10.2017193.42
27.09.2017186.45
20.09.2017183.49
13.09.2017189.72
06.09.2017192.95
30.08.2017190.81
23.08.2017194.52
16.08.2017192.65
09.08.2017192.15
02.08.2017188.27
26.07.2017184.32
19.07.2017189.60
12.07.2017192.84
05.07.2017190.56
27.06.2017186.73
20.06.2017191.30
13.06.2017186.48
06.06.2017186.33
30.05.2017182.03
23.05.2017176.46
16.05.2017179.54
09.05.2017176.48
02.05.2017179.99
25.04.2017171.15
18.04.2017165.20
11.04.2017166.25
04.04.2017164.53
28.03.2017163.44
21.03.2017165.81
14.03.2017164.02
07.03.2017164.20
28.02.2017163.02
21.02.2017162.43
14.02.2017161.54
07.02.2017156.86
31.01.2017152.46
24.01.2017148.59
17.01.2017145.15
10.01.2017144.74
03.01.2017141.67
27.12.2016144.09
19.12.2016143.30
12.12.2016144.20
05.12.2016142.52
28.11.2016141.04
21.11.2016135.25
14.11.2016136.47
07.11.2016121.60
31.10.2016119.99
24.10.2016122.58
17.10.2016116.47
no share price data source found
Share price data requested
Key Figures
Last Closing Price
as per Oct 13, 2017, in USD
183.83n/a
Market Capitalisation
in million USD
48,427n/a
Enterprise Value
in million USD
61,492n/a
Common Shares Outstanding
as per Oct 20, 2016
263,435,396n/a
Preferred Shares Outstanding
as per Oct 20, 2016
n/a
Average Basic Shares Outstanding
TTM
262,275,000n/a
Average Diluted Shares Outstanding
TTM
267,850,000n/a
Index Membership
n/a
Business Summary
Anthem Inc is a health benefits company offering a network-based managed care plans to the large and small employer, individual, Medicaid and Medicare markets. Its business segments are Commercial and Specialty Business, Government Business and Other.
no data available
Key Financials & Ratios (all figures TTM as per Sep 30, 2016, million USD, full statements further below)
Profit & Loss
Revenues 83,337n/a
Gross Profit 0n/a
Operating Income 5,192n/a
EBITDA 0n/a
Net Profit 2,282n/a
Balance Sheet
Cash and Cash Equivalents 2,546n/a
Receivables 0n/a
Total Current Assets 0n/a
PP&E 2,007n/a
Total Assets 64,400n/a
Accounts Payable 0n/a
Current Debt 440n/a
Total Current Liabilities 0n/a
Long-Term Debt 15,170n/a
Total Liabilities 39,656n/a
Total Equity 24,744n/a
Cash Flow
Depreciation & Amortisation 653n/a
Change in Working Capital 0n/a
Operating Cash Flow 3,259n/a
Net Change in PP&E and Intangibles -670n/a
Investing Cash Flow -833n/a
Dividends Paid -668n/a
Financing Cash Flow -1,462n/a
Total Change in Cash 965n/a
Free Cash Flow 0n/a
Profitability Ratios
Gross Margin 0.0%n/a
Operating Margin 6.2%n/a
Net Profit Margin 2.7%n/a
Return on Equity 9.2%n/a
Return on Assets 3.5%n/a
Per Share Figures
Basic EPS 8.70n/a
Diluted EPS 8.52n/a
Sales per Share 317.74n/a
Book Value per Share 94.34n/a
FCF per Share n/a
Dividends per Share n/a
Price Multiples
Price to Earnings Ratio 21.13n/a
Price to Sales Ratio 0.58n/a
Price to Book Value 1.95n/a
Price to Free Cash Flow n/a
Valuation Metrics
EV/EBITDA n/a
EV/Sales 0.74n/a
Book to Market Value 0.51n/a
Other Ratios
Current Ratio 0.0%n/a
Liabilities to Equity Ratio 160.3%n/a
Debt to Assets Ratio 24.2%n/a
Profit & Loss StatementP&L data quality: 100% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Net Revenue
61,168
61,251
61,147
58,699
60,711
61,497
71,024
73,874
79,157
Net Premiums Earned
55,865
57,101
56,382
53,974
55,970
56,497
66,119
68,390
73,385
Investment Income (Loss)
1,001
851
801
803
704
686
659
724
678
Income from Real Estate
0
0
0
0
0
0
0
0
0
Other Operating Income
4,302
3,299
3,964
3,922
4,037
4,314
4,245
4,760
5,094
Policy Charges & Fees
0
0
0
0
0
0
0
0
0
Total Realized Investment Gains
11
-1,179
-394
155
142
297
173
128
74
Total OTTI Realized
-260
-1,208
-450
-39
-93
-38
-99
-49
-83
Other Realized Investment Gains
271
29
56
194
235
335
272
177
158
Other Income
4,291
4,478
4,358
3,767
3,896
4,017
4,072
4,632
5,020
Claims & Losses
-46,037
-48,266
-47,122
-44,930
-47,648
-48,214
-56,237
-56,855
-61,117
Claims & Losses
0
0
0
0
0
0
0
0
0
Long Term Charges
0
0
0
0
0
0
0
0
0
Other Claims & Losses
0
0
0
0
0
0
0
0
0
Underwriting Expense & Acquisition Cost
0
0
0
0
0
0
0
0
0
Other Operating Expense
-9,134
-8,966
-9,438
-8,733
-8,436
-8,681
-9,953
-11,748
-12,535
Operating Income (Loss)
5,997
4,020
4,587
5,036
4,628
4,603
4,834
5,271
5,505
Non-Operating Income (Loss)
-739
-756
-713
-661
-670
-745
-848
-822
-883
Income (Loss) from Affiliates
0
0
0
0
0
0
0
0
0
Interest Expense
-448
-470
-447
-419
-430
-512
-603
-601
-653
Other Non-Operating Income (Loss)
-291
-286
-266
-242
-239
-233
-245
-221
-230
Pretax Income (Loss), Adjusted
5,258
3,264
3,873
4,375
3,958
3,858
3,986
4,449
4,622
Abnormal Gains (Losses)
0
-141
3,530
-21
0
0
-145
-81
9
Merger / Acquisition Expense
0
0
0
0
0
0
0
0
0
Abnormal Derivatives
0
0
0
0
0
0
0
0
0
Disposal of Assets
0
0
0
0
0
0
0
0
0
Early extinguishment of Debt
0
0
0
0
0
0
0
0
0
Asset Write-Down
0
0
0
0
0
0
0
0
0
Impairment of Goodwill & Intangibles
0
0
0
0
0
0
0
0
0
Sale of Business
0
0
0
0
0
0
0
0
0
Legal Settlement
0
0
0
0
0
0
0
0
0
Restructuring Charges
0
0
0
0
0
0
0
0
0
Net Investment Losses
0
0
0
0
0
0
0
0
0
Foreign Exchange
0
0
0
0
0
0
0
0
0
Other Abnormal Items
0
0
0
0
0
0
0
0
0
Pretax Income (Loss)
5,258
3,122
7,403
4,354
3,958
3,858
3,840
4,368
4,631
Income Tax (Expense) Benefit, net
-1,913
-632
-2,657
-1,467
-1,311
-1,207
-1,206
-1,808
-2,071
Current Income Tax
0
0
0
0
0
0
0
0
0
Deferred Income Tax
0
0
0
0
0
0
0
0
0
Tax Allowance/Credit
0
0
0
0
0
0
0
0
0
Income (Loss) from Affiliates, net of taxes
0
0
0
0
0
0
0
0
0
Income (Loss) from Continuing Operations
3,345
2,491
4,746
2,887
2,647
2,651
2,634
2,560
2,560
Net Extraordinary Gains (Losses)
0
0
0
0
0
5
-145
10
0
Discontinued Operations
0
0
0
0
0
5
-145
10
0
XO & Accounting Charges & Other
0
0
0
0
0
0
0
0
0
Income (Loss) Including Minority Interest
3,345
2,491
4,746
2,887
2,647
2,656
2,490
2,570
2,560
Minority Interest
0
0
0
0
0
0
0
0
0
Net Income
3,345
2,491
4,746
2,887
2,647
2,656
2,490
2,570
2,560
Preferred Dividends
0
0
0
0
0
0
0
0
0
Other Adjustments
0
0
0
0
0
0
0
0
0
Net Income Available to Common Shareholders
3,345
2,491
4,746
2,887
2,647
2,656
2,490
2,570
2,560
Remarks
restated on Feb 18, 2010 n/a
calculated values,
restated on Feb 17, 2011 n/a
calculated values,
restated on Feb 22, 2012 n/a
calculated values,
restated on Feb 22, 2013 n/a
calculated values,
restated on Feb 20, 2014 n/a
calculated values,
restated on Feb 24, 2015 n/a
calculated values,
restated on Feb 19, 2016 n/a
calculated values,
restated on Feb 19, 2016 n/a
calculated values,
restated on Feb 19, 2016 n/a
calculated values,
Balance SheetBS data quality: 100% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Assets
Total Investments
n/a
17,122
19,047
20,226
20,310
21,482
22,847
25,258
24,733
Fixed Income-Trading/AFS & Short Term Inv.
n/a
13,373
15,927
16,291
16,160
17,344
17,488
17,972
17,478
Loans & Mortgages
n/a
0
0
0
0
0
0
0
0
Fixed Income Securities-HTM
n/a
0
0
0
0
0
0
0
0
Equity Securities
n/a
1,119
1,043
1,270
1,217
1,243
1,767
1,938
1,473
Real Estate Investments
n/a
0
0
0
0
0
0
0
0
Other Investments
n/a
2,630
2,076
2,665
2,933
2,895
3,592
5,348
5,782
Cash & Cash Equivalents
n/a
2,184
4,816
1,789
2,202
2,475
1,582
2,152
2,114
Accounts & Notes Receivable
n/a
3,043
3,281
3,042
3,403
3,687
3,969
4,826
4,603
Net Fixed Assets
n/a
1,055
1,100
1,156
1,418
1,717
1,802
1,944
2,020
Deferred Policy Acquisition Costs
n/a
0
0
0
0
0
0
0
0
Other Assets
n/a
25,000
23,882
23,955
24,830
29,594
29,375
27,497
28,249
Total Assets
n/a
48,403
52,125
50,167
52,163
58,955
59,575
61,676
61,718
Liabilities and owners' equity
Insurance Reserves
n/a
9,628 9628400000
8,845 8845300000
8,356 8356000000
9,480 9479500000
10,229 10229100000
9,809 9809200000
11,305 11305200000
11,675 11675400000
Reserve for Outstanding Claims & Losses
n/a
7,876 7876000000
7,131 7130700000
6,818 6817900000
7,822 7822300000
8,582 8581500000
8,264 8263500000
9,556 9555800000
9,898 9898200000
Premium Reserve (Unearned)
n/a
1,088 1087700000
1,050 1050000000
891 891400000
927 926500000
897 896800000
823 822700000
1,078 1078100000
1,146 1145500000
Life Policy Benefits
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Other Insurance Reserves
n/a
665 664700000
665 664600000
647 646700000
731 730700000
751 750800000
723 723000000
671 671300000
632 631700000
Short Term Debt
n/a
98 98000000
0 0
100 100000000
100 100000000
250 250000000
400 400000000
400 400000000
540 540000000
Other Short Term Liabilities
n/a
3,391 3391300000
4,657 4657000000
3,877 3877000000
4,048 4048300000
3,733 3732700000
4,491 4491200000
5,233 5233300000
4,693 4692800000
Long Term Debt
n/a
8,744 8743600000
8,399 8399100000
8,854 8853700000
9,740 9740200000
14,728 14727900000
14,092 14091600000
14,644 14643900000
15,325 15324500000
Pension Liabilities
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Pensions
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Other Post-Retirement Benefits
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Other Long Term Liabilities
n/a
5,110 5110200000
5,361 5360700000
5,168 5167600000
5,507 5507000000
6,213 6213000000
6,017 6017300000
5,843 5842600000
6,441 6441000000
Funds for Future Appropriations
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Total Liabilities
n/a
26,972 26971500000
27,262 27262100000
26,354 26354300000
28,875 28875000000
35,153 35152700000
34,809 34809300000
37,425 37425000000
38,674 38673700000
Preferred Equity
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Policyholders' Equity
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Share Capital & Additional Paid-In Capital
n/a
16,848 16848000000
15,197 15196700000
12,866 12866400000
11,683 11682600000
10,857 10856500000
10,768 10768100000
10,065 10065000000
8,558 8558200000
Common Stock
n/a
5 5000000
5 4500000
4 3800000
3 3400000
3 3000000
3 2900000
3 2700000
3 2600000
Additional Paid in Capital
n/a
16,843 16843000000
15,192 15192200000
12,863 12862600000
11,679 11679200000
10,854 10853500000
10,765 10765200000
10,062 10062300000
8,556 8555600000
Other Share Capital
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Treasury Stock
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Retained Earnings
n/a
5,479 5479400000
9,599 9598500000
10,722 10721600000
11,491 11490700000
12,647 12647100000
13,814 13813900000
14,014 14014400000
14,779 14778500000
Other Equity
n/a
-896 -895700000
68 68100000
225 224600000
115 114900000
299 299100000
183 183200000
172 171900000
-293 -292600000
Equity Before Minority Interest
n/a
21,432 21431700000
24,863 24863300000
23,813 23812600000
23,288 23288200000
23,803 23802700000
24,765 24765200000
24,251 24251300000
23,044 23044100000
Minority Interest
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Total Equity
n/a
21,432 21431700000
24,863 24863300000
23,813 23812600000
23,288 23288200000
23,803 23802700000
24,765 24765200000
24,251 24251300000
23,044 23044100000
Total Liabilities & Equity
n/a
48,403 48403200000
52,125 52125400000
50,167 50166900000
52,163 52163200000
58,955 58955400000
59,575 59574500000
61,676 61676300000
61,718 61717800000
Remarks restated on n/a restated on Feb 18, 2010 n/a restated on Feb 17, 2011 n/a restated on Feb 22, 2012 n/a restated on Feb 22, 2013 n/a restated on Feb 20, 2014 n/a restated on Feb 24, 2015 n/a restated on Feb 19, 2016 n/a restated on Nov 2, 2016 n/a
Cash Flow StatementCF data quality: 94% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Net Income/Starting Line
3,345
2,491
4,746
2,887
2,647
2,656
2,490
2,570
2,560
Net Income
0
0
0
0
0
0
0
0
0
Net Income From Discontinued Operations
0
0
0
0
0
0
0
0
0
Other Adjustments
0
0
0
0
0
0
0
0
0
Depreciation & Amortization
586
572
554
601
637
741
909
851
908
Non-Cash Items
256
871
-598
-1,327
-204
-695
621
232
-228
Stock-Based Compensation
177
156
154
136
135
147
146
169
148
Deferred Income Taxes
-106
-481
61
102
74
128
59
31
-66
Other Non-Cash Adjustments
184
1,196
-812
-1,565
-413
-969
416
32
-310
Net Change in Operating Capital
157
-1,398
-1,663
-744
295
44
-967
-283
876
Net Cash From Discontinued Operations (operating)
0
0
0
0
0
0
0
0
0
Cash from Operating Activities
4,345
2,535
3,039
1,417
3,374
2,745
3,052
3,369
4,116
Change in Fixed Assets and Intangibles
-357
-445
-424
-508
-694
-813
-732
-708
-1,023
Disposition of Fixed Assets & Intangibles
68
46
4
35
33
36
166
213
121
Acquisition of Fixed Assets & Intangibles
-424
-491
-427
-543
-727
-849
-898
-920
-1,144
Net Change in Investments
-6,871
-4,266
-5,377
-7,399
-9,995
-13,069
-11,967
-8,460
-8,569
Increase in Investments
229
342
1,233
2,971
1,632
1,549
1,017
407
-248
Decrease in Investments
-7,100
-4,608
-6,610
-10,369
-11,627
-14,618
-12,984
-8,867
-8,321
Other Investing Activities
6,459
5,327
8,803
6,635
9,747
9,330
10,464
8,193
8,440
Net Cash From Discontinued Operations (investing)
0
0
0
0
0
0
0
0
0
Cash from Investing Activities
-769
616
3,003
-1,272
-942
-4,552
-2,234
-975
-1,152
Dividends Paid
0
0
0
0
-358
-367
-448
-481
-657
Cash From (Repayment of) Debt
1,971
-316
-424
542
856
5,139
-594
591
-649
Cash From (Repayment of) Short Term Debt, net
503
-803
-495
-64
464
-79
-42
-379
822
Cash From (Repayment of) Long Term Debt, net
1,469
486
71
607
392
5,218
-552
970
-1,471
Repayments of Long Term Debt
-510
-39
-919
-482
-705
-1,251
-1,802
-1,730
-2,697
Cash From Long Term Debt
1,978
525
990
1,089
1,097
6,469
1,250
2,700
1,227
Cash (Repurchase) of Equity
-5,367
-3,155
-2,512
-4,217
-2,795
-2,386
-1,095
-2,698
-1,330
Increase in Capital Stock
785
121
127
144
245
111
525
301
186
Decrease in Capital Stock
-6,151
-3,276
-2,638
-4,360
-3,040
-2,497
-1,620
-2,999
-1,516
Change in Insurance Reserves
0
0
0
0
0
0
0
0
0
Other Financing Activities
-14
-264
-467
505
278
-297
419
765
-363
Net Cash From Discontinued Operations (financing)
0
0
0
0
0
0
0
0
0
Cash from Financing Activities
-3,410
-3,736
-3,403
-3,169
-2,019
2,089
-1,718
-1,823
-2,997
Net Cash Before Disc. Operations and FX
166
-584
2,639
-3,024
413
282
-900
572
-33
Change in Cash from Disc. Operations and Other
0
0
0
0
0
0
0
0
0
Net Cash Before Exchange Rates
166
-584
2,639
-3,024
413
282
-900
572
-33
Effect of Foreign Exchange Rates
0
0
-7
-3
0
1
2
-7
-5
Net Changes in Cash
166
-584
2,632
-3,027
413
283
-898
565
-38
Remarks
restated on Feb 18, 2010 n/a
calculated values,
restated on Feb 17, 2011 n/a
calculated values,
restated on Feb 22, 2012 n/a
calculated values,
restated on Feb 22, 2013 n/a
calculated values,
restated on Feb 20, 2014 n/a
calculated values,
restated on Feb 24, 2015 n/a
calculated values,
restated on Nov 30, -1 n/a
calculated values,
restated on Feb 19, 2016 n/a
calculated values,
restated on Feb 19, 2016 n/a
calculated values,
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