Overview
AON
Aon is a leading global professional services firm providing a broad range of risk, health, and wealth solutions. The company operates as one segment that includes all of Aon's continuing operations, which, as a global professional services firm, provides advice and solutions to clients focused on risk, health and wealth through four principal products and services: Commercial Risk Solutions, Reinsurance Solutions, Health Solutions, and Wealth Solutions.
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Read More Collectively, these products and service lines make up its one segment: Aon United. In addition, the company is continuing to expand on Aon United growth initiatives through its New Ventures Group. Aon operates in more than 120 countries, generates about 45% of revenue from the US.
Read Less
Read More Collectively, these products and service lines make up its one segment: Aon United. In addition, the company is continuing to expand on Aon United growth initiatives through its New Ventures Group. Aon operates in more than 120 countries, generates about 45% of revenue from the US.
Read Less
Alistair Patrick Boyd
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Management of Companies and Enterprises
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Insurance Carriers
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Holding companies, nec
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Insurance carriers, nec
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Estimated
$1.06 billion
Actual
17.36%
3.51%
$48,965
DEC
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NYSE:AON
Contacts
Get in Touch with 3 Principals* and 643 Contacts
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Alistair Patrick BoydDirector
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Financial Statements
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Financial data as of December 31, 2023 (12 month period) in USD
Annual Revenue 2024
$1.06 billion
USD
Actual
All financial statement data is in millions except per share data | Source: Morningstar
Cash Flow (mil) | 2024 | 2023 | 2022 |
---|---|---|---|
Net Operating Cash | $3,035 | $3,435 | $3,219 |
Net Investing Cash | -$2,833 | -$188 | -$449 |
Net Financing Cash | $796 | -$2,865 | -$1,790 |
Net Change in Cash | $998 | $382 | $980 |
Cash at Beginning of Period | $7,722 | $7,076 | $6,645 |
Cash at End of Period | $8,333 | $7,722 | $7,076 |
Capital Expenditure | -$218 | -$252 | -$196 |
Assets (mil) | 2024 | 2023 | 2022 |
---|---|---|---|
Current Assets | |||
Cash and Cash Equivalents | $1,085 | $778 | $690 |
Accounts Receivable | $3,803 | $3,254 | $3,035 |
Inventories | $ | $ | $ |
Other Current Assets | $18,544 | $17,672 | $16,998 |
Asset Summary | |||
Total Current Assets | $23,432 | $21,704 | $20,723 |
Tangible Fixed Assets | $1,357 | $1,314 | $1,300 |
Intangible Assets | $6,743 | $234 | $447 |
Total Assets | $48,965 | $33,959 | $32,704 |
Liabilities (mil) | 2024 | 2023 | 2022 |
---|---|---|---|
Current Liabilities | |||
Accounts Payable | $2,905 | $2,262 | $2,114 |
Short-Term Debt | $751 | $1,204 | $945 |
Other Current Liabilities | $19,339 | $18,185 | $17,247 |
Liability Summary | |||
Total Current Liabilities | $22,995 | $21,651 | $20,306 |
Long-Term Debt | $16,265 | $9,995 | $9,825 |
Other Long-Term Liabilities | $168 | $145 | $95 |
Total Liabilities | $42,535 | $34,701 | $33,133 |
Stakeholder's Equity (mil) | 2024 | 2023 | 2022 |
---|---|---|---|
Equity | |||
Common Stock | $2 | $2 | $2 |
Retained Earnings | -$2,309 | -$3,399 | -$2,772 |
Equity Summary | |||
Total Equity | $6,121 | -$826 | -$529 |
Shares Outstanding | 216,000,000 | 198,600,000 | 205,400,000 |