Sun Life Financial Cash Flow from Investing Activities 2010-2023 | SLF

Sun Life Financial annual/quarterly cash flow from investing activities history and growth rate from 2010 to 2023. Cash flow from investing activities can be defined as the total change in cash resulting from a companies investments
  • Sun Life Financial cash flow from investing activities for the quarter ending December 31, 2023 was $-0.414B, a 81.2% decline year-over-year.
  • Sun Life Financial cash flow from investing activities for the twelve months ending December 31, 2023 was $-0.965B, a 84.94% decline year-over-year.
  • Sun Life Financial annual cash flow from investing activities for 2023 was $-0.414B, a 81.2% decline from 2022.
  • Sun Life Financial annual cash flow from investing activities for 2022 was $-2.202B, a 243.71% increase from 2021.
  • Sun Life Financial annual cash flow from investing activities for 2021 was $-0.641B, a 3.13% decline from 2020.
Sun Life Financial Annual Cash Flow Investing
(Millions of US $)
2023 $-414
2022 $-2,202
2021 $-641
2020 $-661
2019 $-324
2018 $-216
2017 $-262
2016 $-1,430
2015 $-566
2014 $-12
2013 $-232
2012 $-176
2011 $-326
2010 $-4,315
2009 $-3,038
Sector Industry Market Cap Revenue
Finance Life Insurance Providers $30.882B $30.203B
Sun Life, being the third largest insurer in Canada & well diversified by geography and product, provides protection and wealth management products and services to individual and group customers worldwide. It reports its financial results through five business segments: SLF Canada, SLF U.S., MFS Investment Management, SLF Asia and Corporate. SLF Canada consists of Individual Insurance and Investments, Group Benefits and Group Retirement Services' and offers a full range of protection and wealth accumulation products and services to individuals and corporate clients. SLF U.S. consists of Employee Benefits Group, Annuities and Individual Insurance. The company, however, continues to provide high-quality service for these existing policyholders. MFS, a global asset management firm, offers a comprehensive range of financial products and services. The unit actively manages assets for retail and institutional investors around the world through mutual funds, separately managed accounts and retirement plans.
Stock Name Country Market Cap PE Ratio
AIA (AAGIY) Hong Kong, SAR China $88.668B 0.00
Manulife Financial Corp (MFC) Canada $43.941B 9.10
Aviva (AVVIY) United Kingdom $16.764B 0.00
Reinsurance Group Of America (RGA) United States $13.658B 10.02
NN Group (NNGRY) Netherlands $13.351B 0.00
Primerica (PRI) United States $7.507B 13.28
Voya Financial (VOYA) United States $7.405B 8.93
F&G Annuities & Life (FG) United States $5.109B 13.28
Lincoln National (LNC) United States $4.980B 5.78
BRP (BRP) United States $3.665B 46.19
Genworth Financial (GNW) United States $2.898B 0.00
Brighthouse Financial (BHF) United States $2.861B 2.96
National Western Life (NWLI) United States $1.782B 18.36
Abacus Life (ABL) United States $0.768B 0.00
Kansas City Life Insurance (KCLI) United States $0.356B 5.96
GoHealth (GOCO) United States $0.220B 0.00
VERICITY (VERY) United States $0.168B 0.00
Security National Financial (SNFCA) United States $0.153B 10.28
Citizens (CIA) United States $0.117B 5.04
UTG (UTGN) United States $0.095B 47.70