Assurant, Inc.
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Assurant, Inc. (AIZ)

Solvency & Capital Structure

Total Debt

$2.21B

Net Debt

$286M

Assurant, Inc. currently has $2.21B in total debt. Net debt is $286M after cash offsets.

Financial Fundamentals

AIZQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-03-312.211.920.2935.776.2%
2025-12-312.214.55-2.35Net Cash36.296.1%
2025-09-302.214.34-2.13Net Cash35.786.2%
2025-06-302.084.04-1.95Net Cash35.535.9%
2025-03-312.084.12-2.04Net Cash34.996.0%
2024-12-312.089.26-7.18Net Cash35.025.9%
2024-09-302.084.26-2.18Net Cash35.335.9%
2024-06-302.083.99-1.91Net Cash33.776.2%
2024-03-312.088.69-6.61Net Cash33.236.3%
2023-12-312.083.73-1.65Net Cash33.646.2%
2023-09-302.088.25-6.17Net Cash33.216.3%
2023-06-302.138.30-6.17Net Cash33.106.4%
2023-03-312.138.24-6.11Net Cash32.926.5%
2022-12-312.137.98-5.85Net Cash33.126.4%
2022-09-302.137.83-5.71Net Cash33.256.4%
2022-06-302.137.67-5.54Net Cash31.736.7%
2022-03-312.208.28-6.08Net Cash33.026.7%
2021-12-312.209.50-7.30Net Cash33.926.5%
2021-09-302.209.90-7.69Net Cash33.626.5%
2021-06-302.559.47-6.92Net Cash45.995.5%
2021-03-312.208.37-6.17Net Cash44.415.0%
2020-12-312.259.32-7.06Net Cash44.655.0%
2020-09-302.0115.55-13.54Net Cash43.584.6%
2020-06-302.2114.98-12.78Net Cash44.235.0%
2020-03-312.2113.89-11.68Net Cash43.425.1%
2019-12-312.0114.59-12.59Net Cash44.294.5%
2019-09-302.0114.44-12.43Net Cash43.754.6%
2019-06-302.0114.08-12.07Net Cash43.144.7%
2019-03-312.0113.45-11.45Net Cash42.244.8%
2018-12-312.0112.88-10.88Net Cash41.094.9%
2018-09-302.0113.03-11.02Net Cash43.444.6%
2018-06-302.0012.89-10.89Net Cash42.364.7%
2018-03-312.0011.71-9.70Net Cash32.436.2%
2017-12-311.0710.94-9.88Net Cash31.843.4%
2017-09-301.0710.99-9.92Net Cash32.413.3%
2017-06-301.1410.63-9.49Net Cash30.063.8%
2017-03-311.0710.60-9.53Net Cash29.573.6%
2016-12-311.0710.83-9.76Net Cash29.713.6%
2016-09-301.1711.43-10.27Net Cash30.283.8%
2016-06-301.1711.48-10.31Net Cash29.803.9%
2016-03-311.4111.55-10.14Net Cash30.294.7%
2015-12-311.1712.01-10.84Net Cash30.083.9%
2015-09-301.1712.61-11.43Net Cash30.593.8%
2015-06-301.1712.49-11.31Net Cash30.843.8%
2015-03-311.1712.70-11.53Net Cash30.803.8%
2014-12-311.1712.93-11.76Net Cash31.563.7%
2014-09-301.1713.50-12.33Net Cash30.673.8%
2014-06-301.1713.57-12.40Net Cash30.623.8%
2014-03-311.1713.27-12.10Net Cash29.673.9%
2013-12-311.6413.48-11.84Net Cash29.715.5%
2013-09-301.6413.71-12.07Net Cash29.355.6%
2013-06-301.6513.47-11.82Net Cash28.735.7%
2013-03-311.6713.99-12.32Net Cash29.485.7%
2012-12-310.9713.38-12.41Net Cash28.953.4%
2012-09-300.971.32-0.35Net Cash28.173.5%
2012-06-300.971.61-0.64Net Cash27.243.6%
2012-03-310.971.45-0.48Net Cash27.253.6%
2011-12-310.9712.80-11.83Net Cash27.123.6%
2011-09-300.971.57-0.60Net Cash26.773.6%
2011-06-300.971.58-0.61Net Cash26.783.6%
2011-03-310.971.38-0.40Net Cash26.703.6%
2010-12-310.971.51-0.54Net Cash26.403.7%
2010-09-300.970.000.9726.853.6%
2010-06-300.971.42-0.45Net Cash26.123.7%
2010-03-310.971.37-0.40Net Cash26.243.7%
2009-12-310.971.77-0.80Net Cash25.843.8%
2009-09-300.971.68-0.71Net Cash25.673.8%
2009-06-300.971.33-0.36Net Cash24.823.9%
2009-03-310.971.33-0.36Net Cash23.824.1%
2008-12-310.971.74-0.77Net Cash24.514.0%
2008-09-300.971.67-0.70Net Cash25.353.8%
2008-06-300.971.43-0.46Net Cash26.213.7%
2008-03-311.491.67-0.18Net Cash26.455.6%
2007-12-311.511.220.3026.755.7%
2007-09-300.971.13-0.16Net Cash26.573.7%
2007-06-300.971.27-0.30Net Cash25.773.8%
2007-03-310.971.19-0.22Net Cash25.463.8%
2006-12-310.971.30-0.33Net Cash25.173.9%
2006-09-300.970.920.0525.023.9%
2006-06-300.971.44-0.47Net Cash24.534.0%
2006-03-310.971.47-0.50Net Cash24.683.9%
2005-12-310.971.83-0.86Net Cash25.373.8%
2005-09-300.971.58-0.61Net Cash25.413.8%
2005-06-300.971.31-0.34Net Cash24.464.0%
2005-03-310.971.45-0.48Net Cash24.324.0%
2004-12-311.511.110.4024.506.1%
2004-09-300.970.920.0523.644.1%
2004-06-300.970.920.0523.354.2%
2004-03-310.970.98-0.01Net Cash23.704.1%
2003-12-311.751.230.5223.737.4%