v3.26.1
Shareholders' equity and other equity instruments (Tables)
6 Months Ended
Jun. 30, 2026
Disclosure of Shareholders equity and other equity instruments [Line Items]  
Summary of Issued Share Capital Attributable to Shareholders
     
    June 30, 2026
      December 31, 2025  
Share capital - par value
     229        229  
Share premium
     6,853        6,853  
Total share capital
  
 
7,082
 
  
 
7,082
 
Share capital - par value
                 
Balance on January 1
  
 
229
 
  
 
241
 
Shares withdrawn
     -        (12
Closing balance
  
 
229
 
  
 
229
 
Summary of Basic Earnings Per Share
Continuing and discontinued operations
  
     1H 2026
         1H 2025  
Net result attributable to owners of Aegon Ltd.
     614       584  
Coupons on perpetual securities
     (37     (19
Net result attributable to owners for basic earnings per share calculation
  
 
577
 
 
 
565
 
Net result attributable to common shareholders
     574       562  
Net result attributable to common shareholders B
     3       3  
Weighted average number of common shares outstanding (in millions)
     1,489       1,573  
Weighted average number of common shares B outstanding (in millions)
     328       345  
Basic earnings per common share (EUR per share)
     0.39       0.36  
Basic earnings per common share B (EUR per share)
     0.01       0.01  
Summary of Dividend Per Share
    
EUR per common share
Year    Interim    Final             Total 
2026
   0.21 
1
   n.a.    n.a.
2025
   0.19    0.21
2
   0.40
 
1
 
Proposed.
2
 
Approved by AGM on June 10, 2026.
Summary of Revaluation Reserves
     
 Investments
FVOCI
   
 Real estate
held for own
use
   
 Cash flow
hedging
reserve
   
 Insurance
contracts
   
Investment
contracts
with DPF
   
 Reinsurance
contracts
held
      Total  
On January 1, 2026
  
 
(2,434
 
 
8
 
 
 
469
 
 
 
1,821
 
 
 
-
 
 
 
(2,384
 
 
(2,519
Gross revaluation
     (683     -       65       399       (1     (169     (388
Net (gains) / losses transferred to income statement      (13     -       (42     -       -       -       (55
Movements in foreign currency translation and net foreign investment hedging reserves      (80     -       13       56       -       (69     (79
Tax effect
     113       -       (5     (86     -       36       59  
On June 30, 2026
  
 
(3,097
 
 
8
 
 
 
501
 
 
 
2,191
 
 
 
(1
 
 
(2,586
 
 
(2,984
On January 1, 2025
  
 
(4,426
 
 
9
 
 
 
724
 
 
 
2,795
 
 
 
-
 
 
 
(2,808
 
 
(3,706
Gross revaluation
     1,605       1       (97     (833     -       119       795  
Net (gains) / losses transferred to income statement      342       -       (127     -       -       -       215  
Movements in foreign currency translation and net foreign investment hedging reserves      464       (1     (79     (297     -       326       413  
Tax effect
     (419     -       49       174       -       (22     (218
Disposal of group assets
     -       (1     -       -       -       -       (1
Other
     -       -       -       (17     -       -       (17
On December 31, 2025
  
 
(2,434
 
 
8
 
 
 
469
 
 
 
1,821
 
 
 
-
 
 
 
(2,384
 
 
(2,519
Summary of Revaluation Reserve for Investments Measured at FVOCI
The closing balances of the revaluation reserve for investments measured at FVOCI relate to the following instruments:
 
     
   June 30, 2026
    December 31, 2025  
Shares
     3       3  
Debt securities
     (3,094     (2,431
Money market and other short-term investments
     (6     (6
Revaluation reserve for investments measured at FVOCI
  
 
(3,097
 
 
(2,434