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as of market close, Sep 18, 2026
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CRBG financial statements

The full income statement, balance sheet, and cash-flow statement for Corebridge Financial Inc. (CRBG), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

Shares outstanding (point-in-time)

2024-06 592.0M2024-09 568.9M2024-12 556.0M2025-03 550.3M2025-06 538.7M2025-09 520.5M2025-12 481.7M2026-03 456.7M2026-06 445.8M-24.7% over 8 periods

SEC-filed end-of-period counts (cover pages and balance sheets, split-adjusted) — the series realized buyback yield is computed from. The weighted-average share lines in the statements below lag these by design: an average over the year sits near the midpoint of an ongoing buyback.

As-reported fiscal years.
Line itemTrendFY2025FY2024FY2023FY2022FY2021
Income Statementas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Revenue18.5B-1.2%18.7B-0.5%18.8B-23.9%24.7B+6.2%23.3B+54.4%
Selling, general & administrative2.00B-0.7%2.02B-11.7%2.28B-1.8%2.32B+10.4%2.10B+3.8%
Amortization of intangibles4.00M-42.9%7.00M+16.7%
Provision for credit losses0.000.000.00
Interest expense552M-0.4%554M-4.5%580M+8.6%534M+37.3%389M-20.6%
Gain (loss) on equity securities595M+44.4%412M+46.6%281M+3.7%271M-74.7%1.07B
Pre-tax income-541M-119.3%2.80B+198.2%940M-91.0%10.5B-6.8%11.3B+1222.4%
Income tax-151M-125.2%600M+725.0%-96.0M-104.8%2.01B-3.4%2.08B+13980.0%
-366M-116.4%2.23B+102.0%1.10B-86.5%8.16B-1.0%8.24B+1184.0%
Net income to non-controlling interest-24.0M+11.1%-27.0M+60.3%-68.0M-121.2%320M-65.6%929M+314.7%
Preferred dividends0.000.000.00
Net income to common-366M-116.4%2.23B+102.0%1.10B-86.5%8.16B
-$0.68-118.3%$3.72+117.5%$1.71-86.4%$12.60
EPS (basic)-$0.68-118.2%$3.73+116.9%$1.72-86.4%$12.63
Weighted-avg shares (basic)539M-9.8%598M-7.0%643M-0.4%646M
Weighted-avg shares (diluted)539M-10.0%599M-7.1%645M-0.3%647M
Dividends per share$1.06+8.4%$0.98-64.6%$2.77+104.5%$1.35
Balance Sheetas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Cash & equivalents453M-45.0%824M+31.2%628M-0.8%633M+5.3%601M-34.5%
414B+6.2%389B+2.7%379B+5.3%360B-13.4%416B-1.5%
Property, plant & equipment440M+36.2%323M-19.9%
Operating lease right-of-use79.0M+5.3%75.0M+275.0%20.0M-44.4%36.0M-29.4%51.0M
Goodwill117M-33.1%175M-8.9%192M-11.9%
Intangible assets0.00-100.0%12.0M-33.3%18.0M-41.9%
Deferred tax assets7.90B-7.9%8.58B-2.9%8.83B+82.6%4.84B+22.5%
Short-term & current debt0.00-100.0%1.10B+340.4%250M-83.3%1.50B-82.0%8.32B
400B+6.0%377B+2.8%367B+4.8%350B-9.6%387B+0.9%
Long-term debt7.87B+1742.6%427M
Operating lease liability (total)80.0M+0.0%80.0M+207.7%26.0M-39.5%43.0M-34.8%66.0M
13.2B+15.2%11.5B-2.6%11.8B+25.4%9.38B-65.4%27.1B-24.9%
Common stock6.00M+0.0%6.00M
Additional paid-in capital8.16B+0.0%8.16B+0.1%8.15B+1.5%8.03B-0.3%8.05B
Retained earnings18.4B-4.6%19.3B+9.6%17.6B-3.5%18.2B+105.5%8.86B-62.7%
Treasury stock4.38B+92.0%2.28B+353.7%503M0.00
Accumulated other comprehensive income-9.45B+30.9%-13.7B-1.7%-13.5B+20.2%-16.9B-265.9%10.2B-17.4%
Non-controlling interest759M-12.2%864M-0.6%869M-7.5%939M-46.6%1.76B
Total equity incl. non-controlling14.0B+13.3%12.3B-2.4%12.6B+22.4%10.3B-64.4%29.0B-27.1%
Total liabilities & equity414B+6.2%389B+2.7%379B+5.3%360B-13.4%416B-1.5%
Common shares issued650M+0.0%650M+0.3%648M+0.5%645M+0.0%645M
Common shares outstanding496M-11.6%561M-9.7%622M-3.6%645M
Shares outstanding (cover)482M-13.4%556M-10.7%623M-3.9%648M
Cash Flowas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
2.02B-6.0%2.15B-35.9%3.36B+28.1%2.62B+9.0%2.40B-27.7%
Depreciation & amortization556M+188.1%193M-47.3%366M-37.4%585M+41.6%413M+27.1%
Intangible amortization4.00M-42.9%7.00M+16.7%
Deferred income taxes337M-46.9%635M+258.0%-402M-135.4%1.13B+733.8%136M+107.8%
-13.3B-15.6%-11.5B-110.7%-5.48B+24.5%-7.25B-268.7%-1.97B+75.1%
Acquisitions0.000.00-100.0%5.00M-95.3%107M0.00
Sales/maturities of investments19.3B+19.5%16.2B+82.5%8.86B-7.9%9.62B-52.9%20.4B+31.7%
Other investing activities-17.0M-110.9%156M+159.5%-262M-191.3%287M+241.7%84.0M-71.5%
10.9B+14.2%9.58B+353.2%2.11B-54.8%4.67B+720.7%-753M-116.1%
Long-term debt issued0.000.000.00-100.0%7.45B0.00
Long-term debt repaid0.00-100.0%982M+83.6%535M-56.4%1.23B+116.2%568M+5063.6%
Common stock issued0.00-100.0%1.00M0.000.000.00
Common stock repurchased2.12B+18.2%1.79B+259.8%498M0.000.00
Dividends paid511M-6.1%544M-68.4%1.72B+96.6%876M0.00
Other financing activities-599M-124.3%-267M-292.1%139M-53.5%299M+269.1%81.0M-56.0%
FX effect on cash1.00M+0.0%1.00M-66.7%3.00M+130.0%-10.0M-400.0%-2.00M-128.6%
Net change in cash-371M-289.3%196M+9900.0%-2.00M-106.3%32.0M+110.1%-317M-448.4%
Interest paid584M+8.6%538M-7.7%583M+23.5%472M+29.7%364M+30.5%
Income taxes paid192M-23.8%252M+1160.0%20.0M-98.2%1.10B-42.4%1.91B-0.1%
Valuation Ratiosas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Market cap14.5B-12.7%16.6B+21.8%13.7B+5.6%12.9B
P/E7.5×+20.4%6.2×+492.6%1.0×
P/S0.8×-11.6%0.9×+27.9%0.7×+46.6%0.5×
P/B1.1×-24.2%1.5×-11.1%1.6×-4.9%1.7×
Earnings yield13.4%-17.0%16.1%-83.1%95.7%
Dividend yield3.5%+7.6%3.3%-74.4%12.8%+89.4%6.7%
Source filing10-K10-K10-K10-K10-K

About this data

Source: CRBG’s SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn’t file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all CRBG filings on SEC EDGAR → Not investment advice.