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Aflac Incorporated AFL.F · Stock Open Aflac Incorporated in new tab

101.35 EUR
P/E
12.57
EPS
8.08
Yield
2.15%
P/B
1.93
ROE
16.91
Beta
0.58
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Key Metrics
P/E12.57
EPS8.08
Book Value52.59
Price to Book1.93
Debt/Equity53.37
% Insiders10.920%
Growth
Revenue Growth-0.01%
Earnings Growth0.47%
Estimates
Forward P/E19.53
Forward EPS5.20
Dividend
Dividend Yield2.15%
Annual dividends2.08 EUR
Ex-Div. DateAug. 19, 2026
Payout26.86%
5y avg Yield2.17%

DCF Valuation

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Currency: EUR
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Percent number (e.g., 10 = 10%).
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DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Aflac Incorporated Logo Aflac Incorporated Analysis (AFL.F)

United States Financials Official Website Stock

Is Aflac Incorporated a good investment? Aflac Incorporated (AFL.F) is currently trading at 101.35 EUR.

In terms of valuation, the stock trades at a P/E ratio of 12.57. This relatively low multiple may signal that Aflac Incorporated is undervalued compared to historical market norms.

For income investors, Aflac Incorporated pays a dividend yield of 2.15%. With a payout ratio of 27%, the dividend appears sustainable.

Investor FAQ

Does Aflac Incorporated pay a dividend?

Yes, it pays an annual dividend of 2.08 EUR (2.15% yield).

What asset class is Aflac Incorporated?

Aflac Incorporated is classified as a Stock. You can compare it against 6 other assets in the "Related Symbols" list on this page.

Company Profile

Aflac Incorporated, through its subsidiaries, provides supplemental health and life insurance products. It operates in two segments, Aflac Japan and Aflac U.S. The Aflac Japan segment offers cancer, medical, nursing care, whole life, and GIFT insurance products, as well as WAYS and child endowment, and Tsumitasu insurance products in Japan. Its Aflac U.S. segment provides accident, disability, cancer, critical illness, hospital indemnity, dental, vision, and life insurance products in the United States. The company also provides hearing, final expense, pet, Medicare supplement, supplemental dental and vision, short-term disability, and absence management insurance products, as well as cafeteria plans. It sells its products to individuals, families, and business owners through individual, independent corporate, and affiliated corporate agencies; banks; independent associates/career agents; and brokers. Aflac Incorporated was founded in 1955 and is headquartered in Columbus, Georgia.

Exchange Ticker
FRA (Germany) AFL.F
MEX (Mexico) AFL.MX
SAO (Brazil) A1FL34.SA
GER (Germany) AFL.DE
LSE (United Kingdom) 0H68.L
NYQ (United States) AFL
Trades
Dividend Yield
2.15%
5y avg 2.17%
Annual Dividends
2.08EUR
Next Ex. Div Date
Aug. 19, 2026
Payout Ratio
26.86%
Dividend History paid per year (EUR)
Historical Dividends
Year Total Dividends
2027
1.85 EUR
Aug. 18, 2027 (estimated) 0.6101
May 19, 2027 (estimated) 0.6194
Feb. 17, 2027 (estimated) 0.6194
2026
2.19 EUR
Nov. 18, 2026 (estimated) 0.5889
Aug. 19, 2026 0.5269
May 20, 2026 0.5350
Feb. 18, 2026 0.5350
2025
2.03 EUR
Nov. 19, 2025 0.5087
Aug. 20, 2025 0.5087
May 21, 2025 0.5087
Feb. 19, 2025 0.5087
2024
1.75 EUR
Nov. 20, 2024 0.4385
Aug. 21, 2024 0.4385
May 21, 2024 0.4385
Feb. 20, 2024 0.4385
2023
1.47 EUR
Nov. 14, 2023 0.3683
Aug. 22, 2023 0.3683
May 16, 2023 0.3683
Feb. 14, 2023 0.3683
2022
1.40 EUR
Nov. 15, 2022 0.3508
Aug. 23, 2022 0.3508
May 17, 2022 0.3508
Feb. 15, 2022 0.3508
2021
1.16 EUR
Nov. 16, 2021 0.2894
Aug. 17, 2021 0.2894
May 18, 2021 0.2894
Feb. 16, 2021 0.2894
2020
0.98 EUR
Nov. 17, 2020 0.2456
Aug. 18, 2020 0.2456
May 19, 2020 0.2456
Feb. 18, 2020 0.2456
2019
0.95 EUR
Nov. 19, 2019 0.2368
Aug. 20, 2019 0.2368
May 21, 2019 0.2368
Feb. 19, 2019 0.2368
2018
0.91 EUR
Nov. 20, 2018 0.2280
Aug. 21, 2018 0.2280
May 22, 2018 0.2280
Feb. 20, 2018 0.2280
2017
0.57 EUR
Nov. 14, 2017 0.1973
Aug. 21, 2017 0.1886
Feb. 13, 2017 0.1886
2016
0.55 EUR
Nov. 14, 2016 0.1886
Aug. 22, 2016 0.1798
Feb. 11, 2016 0.1798
2015
0.69 EUR
Nov. 16, 2015 0.1798
Aug. 17, 2015 0.1710
May 18, 2015 0.1710
Feb. 12, 2015 0.1710
2014
0.50 EUR
Nov. 17, 2014 0.1710
May 19, 2014 0.1622
Feb. 12, 2014 0.1622
2013
0.62 EUR
Nov. 18, 2013 0.1622
Aug. 19, 2013 0.1535
May 20, 2013 0.1535
Feb. 13, 2013 0.1535
2012
0.59 EUR
Nov. 9, 2012 0.1535
Aug. 13, 2012 0.1447
May 14, 2012 0.1447
Feb. 13, 2012 0.1447
2011
0.54 EUR
Nov. 14, 2011 0.1447
Aug. 15, 2011 0.1316
May 16, 2011 0.1316
Feb. 11, 2011 0.1316
2010
0.13 EUR
Nov. 15, 2010 0.1316
Upcoming Dividends
Name Payment Date Status Amount
Aflac Incorporated Aug 19, 2026 0.52692 EUR
Aflac Incorporated May 20, 2026 0.53497 EUR
Aflac Incorporated Feb 18, 2026 0.53497 EUR
Aflac Incorporated Nov 19, 2025 0.50866 EUR
Stock Splits
Split Date Split Ratio to 1
March 19, 2018 2:1
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