US Stock MarketDetailed Quotes

RNR RenaissanceRe Holdings

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  • 271.900
  • +7.260+2.74%
Close Nov 22 16:00 ET
  • 274.900
  • +3.000+1.10%
Pre 04:59 ET
14.12BMarket Cap3.83P/E (TTM)

RenaissanceRe Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
92.91%1.49B
534.83%1.21B
56.86%683.46M
19.20%1.91B
-30.10%512.5M
28.46%772.47M
89.19%190.97M
159.00%435.71M
29.87%1.6B
69.35%733.2M
Net income from continuing operations
291.97%1.63B
94.42%728.62M
-26.40%618.47M
412.13%3.62B
186.81%1.99B
135.03%416.53M
240.50%374.78M
311.40%840.29M
-1,021.25%-1.16B
140.51%693.33M
Operating gains losses
-432.88%-843.12M
-10.57%138.61M
163.13%165.22M
-129.80%-490.44M
-258.74%-636.99M
-56.98%253.28M
-73.55%154.99M
-140.34%-261.72M
651.23%1.65B
-3,511.43%-177.57M
Change in working capital
215.62%474.98M
212.26%335.12M
-5.77%-116.26M
-194.65%-1.08B
-439.44%-825.36M
-87.59%150.49M
-25.87%-298.52M
-49.03%-109.91M
0.38%1.14B
68.83%243.16M
-Change in receivables
-31.72%681.57M
58.86%-222.12M
-1.27%-800.05M
129.83%537.06M
45.24%868.73M
219.70%998.17M
-21.68%-539.87M
29.52%-789.98M
19.26%-1.8B
110.29%598.15M
-Change in prepaid assets
49.39%236.43M
-168.18%-151.11M
-227.26%-358.08M
234.01%223.39M
8.84%230.89M
30.78%158.26M
66.58%-56.35M
66.97%-109.42M
-435.29%-166.69M
-25.00%212.14M
-Change in loss and loss adjustment expense reserves
362.49%480.27M
162.78%371.32M
-212.48%-117.26M
-101.33%-34.66M
-142.35%-97.25M
-108.24%-182.96M
309.34%141.3M
-51.66%104.25M
-10.83%2.6B
274.06%229.62M
-Change in deferred acquisition costs
184.68%96.52M
111.17%6.55M
-0.10%-70.73M
111.56%37.3M
1,308.48%132.65M
136.96%33.9M
34.68%-58.6M
53.07%-70.66M
-49.59%-322.58M
-78.65%9.42M
-Change in payables and accrued expense
54.42%-208.2M
116.08%33.65M
173.16%167.66M
-1,645.07%-1.04B
-89.05%-435.44M
-101.04%-456.8M
-416.20%-209.25M
-86.62%61.38M
-81.93%67.32M
-123.24%-230.33M
-Change in unearned premiums
-32.54%-655.83M
-3.71%449.37M
60.73%1.11B
-122.08%-227M
-82.82%-890.39M
-596.25%-494.81M
-18.26%466.66M
-31.87%691.54M
33.91%1.03B
4.19%-487.04M
-Change in other working capital
-264.44%-155.78M
-259.56%-152.54M
-1,758.24%-49.28M
-123.52%-579.28M
-614.60%-634.56M
-0.31%94.73M
59.51%-42.42M
101.85%2.97M
40.72%-259.17M
-207.30%-88.8M
Cash from discontinued operating activities
Operating cash flow
92.91%1.49B
534.83%1.21B
56.86%683.46M
19.20%1.91B
-30.10%512.5M
28.46%772.47M
89.19%190.97M
159.00%435.71M
29.87%1.6B
69.35%733.2M
Investing cash flow
Cash flow from continuing investing activities
-356.58%-1.5B
60.78%-979.16M
55.54%-304.45M
-26.74%-3.82B
74.60%-313.51M
60.33%-327.86M
-352.58%-2.5B
-69.52%-684.7M
-269.50%-3.02B
-664.64%-1.23B
Net investment purchase and sale
-365.34%-1.49B
62.86%-926.85M
54.98%-304.02M
31.32%-1.93B
251.21%1.56B
61.06%-321.12M
-349.75%-2.5B
-66.61%-675.34M
-179.47%-2.82B
-182.27%-1.03B
Net business purchase and sale
60.89%-2.64M
-3,856.73%-52.31M
95.42%-429K
-840.64%-1.89B
-818.98%-1.87B
-281.87%-6.74M
-141.70%-1.32M
-752.51%-9.36M
-205.09%-200.83M
-200.00%-203.67M
Cash from discontinued investing activities
Investing cash flow
-356.58%-1.5B
60.78%-979.16M
55.54%-304.45M
-26.74%-3.82B
74.60%-313.51M
60.33%-327.86M
-352.58%-2.5B
-69.52%-684.7M
-269.50%-3.02B
-664.64%-1.23B
Financing cash flow
Cash flow from continuing financing activities
70.78%-57.76M
-109.57%-209.17M
-654.28%-644.58M
256.89%2.59B
-3.17%484.5M
-1,160.65%-197.66M
701.00%2.19B
274.89%116.29M
339.81%725.34M
244.22%500.35M
Net issuance payments of debt
-2,360.63%-25M
-89.89%75M
-150.00%-75M
--785.58M
--75M
---1.02M
--741.6M
---30M
--0
--0
Net common stock issuance
-10,850.87%-106.77M
----
----
910.98%1.35B
--0
96.15%-975K
----
----
83.78%-166.66M
--0
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-2.67%-28.84M
-4.00%-29.24M
-14.79%-29.35M
-10.41%-110.49M
-15.29%-28.72M
-12.60%-28.09M
-12.30%-28.12M
-1.52%-25.57M
0.64%-100.07M
-1.33%-24.91M
Net other financing charges
161.38%102.86M
-222.56%-146.39M
-414.35%-540.23M
-43.36%561.94M
-16.57%438.22M
-343.26%-167.58M
-65.07%119.44M
207.18%171.86M
70.43%992.08M
13.39%525.26M
Cash from discontinued financing activities
Financing cash flow
70.78%-57.76M
-109.57%-209.17M
-654.28%-644.58M
256.89%2.59B
-3.17%484.5M
-1,160.65%-197.66M
701.00%2.19B
274.89%116.29M
339.81%725.34M
244.22%500.35M
Net cash flow
Beginning cash position
72.38%1.63B
51.05%1.61B
57.20%1.88B
-35.75%1.19B
-0.69%1.2B
-32.48%943.94M
-31.95%1.06B
-35.75%1.19B
7.04%1.86B
-16.41%1.2B
Current changes in cash
-126.14%-64.55M
119.97%23.98M
-100.13%-265.57M
198.62%677.64M
114,972.10%683.49M
219.56%246.94M
32.47%-120.1M
56.08%-132.7M
-692.08%-687.15M
-100.14%-595K
Effect of exchange rate changes
105.95%10.31M
-1,203.09%-3.57M
-352.37%-5.21M
-75.34%5.54M
80.07%-1.86M
-60.54%5.01M
-97.49%324K
-66.68%2.07M
265.50%22.47M
-768.13%-9.31M
End cash position
31.53%1.57B
72.38%1.63B
51.05%1.61B
57.20%1.88B
57.20%1.88B
-0.69%1.2B
-32.48%943.94M
-31.95%1.06B
-35.75%1.19B
-35.75%1.19B
Free cash flow
92.91%1.49B
534.83%1.21B
56.86%683.46M
19.20%1.91B
-30.10%512.5M
28.46%772.47M
89.19%190.97M
159.00%435.71M
29.87%1.6B
69.35%733.2M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 92.91%1.49B534.83%1.21B56.86%683.46M19.20%1.91B-30.10%512.5M28.46%772.47M89.19%190.97M159.00%435.71M29.87%1.6B69.35%733.2M
Net income from continuing operations 291.97%1.63B94.42%728.62M-26.40%618.47M412.13%3.62B186.81%1.99B135.03%416.53M240.50%374.78M311.40%840.29M-1,021.25%-1.16B140.51%693.33M
Operating gains losses -432.88%-843.12M-10.57%138.61M163.13%165.22M-129.80%-490.44M-258.74%-636.99M-56.98%253.28M-73.55%154.99M-140.34%-261.72M651.23%1.65B-3,511.43%-177.57M
Change in working capital 215.62%474.98M212.26%335.12M-5.77%-116.26M-194.65%-1.08B-439.44%-825.36M-87.59%150.49M-25.87%-298.52M-49.03%-109.91M0.38%1.14B68.83%243.16M
-Change in receivables -31.72%681.57M58.86%-222.12M-1.27%-800.05M129.83%537.06M45.24%868.73M219.70%998.17M-21.68%-539.87M29.52%-789.98M19.26%-1.8B110.29%598.15M
-Change in prepaid assets 49.39%236.43M-168.18%-151.11M-227.26%-358.08M234.01%223.39M8.84%230.89M30.78%158.26M66.58%-56.35M66.97%-109.42M-435.29%-166.69M-25.00%212.14M
-Change in loss and loss adjustment expense reserves 362.49%480.27M162.78%371.32M-212.48%-117.26M-101.33%-34.66M-142.35%-97.25M-108.24%-182.96M309.34%141.3M-51.66%104.25M-10.83%2.6B274.06%229.62M
-Change in deferred acquisition costs 184.68%96.52M111.17%6.55M-0.10%-70.73M111.56%37.3M1,308.48%132.65M136.96%33.9M34.68%-58.6M53.07%-70.66M-49.59%-322.58M-78.65%9.42M
-Change in payables and accrued expense 54.42%-208.2M116.08%33.65M173.16%167.66M-1,645.07%-1.04B-89.05%-435.44M-101.04%-456.8M-416.20%-209.25M-86.62%61.38M-81.93%67.32M-123.24%-230.33M
-Change in unearned premiums -32.54%-655.83M-3.71%449.37M60.73%1.11B-122.08%-227M-82.82%-890.39M-596.25%-494.81M-18.26%466.66M-31.87%691.54M33.91%1.03B4.19%-487.04M
-Change in other working capital -264.44%-155.78M-259.56%-152.54M-1,758.24%-49.28M-123.52%-579.28M-614.60%-634.56M-0.31%94.73M59.51%-42.42M101.85%2.97M40.72%-259.17M-207.30%-88.8M
Cash from discontinued operating activities
Operating cash flow 92.91%1.49B534.83%1.21B56.86%683.46M19.20%1.91B-30.10%512.5M28.46%772.47M89.19%190.97M159.00%435.71M29.87%1.6B69.35%733.2M
Investing cash flow
Cash flow from continuing investing activities -356.58%-1.5B60.78%-979.16M55.54%-304.45M-26.74%-3.82B74.60%-313.51M60.33%-327.86M-352.58%-2.5B-69.52%-684.7M-269.50%-3.02B-664.64%-1.23B
Net investment purchase and sale -365.34%-1.49B62.86%-926.85M54.98%-304.02M31.32%-1.93B251.21%1.56B61.06%-321.12M-349.75%-2.5B-66.61%-675.34M-179.47%-2.82B-182.27%-1.03B
Net business purchase and sale 60.89%-2.64M-3,856.73%-52.31M95.42%-429K-840.64%-1.89B-818.98%-1.87B-281.87%-6.74M-141.70%-1.32M-752.51%-9.36M-205.09%-200.83M-200.00%-203.67M
Cash from discontinued investing activities
Investing cash flow -356.58%-1.5B60.78%-979.16M55.54%-304.45M-26.74%-3.82B74.60%-313.51M60.33%-327.86M-352.58%-2.5B-69.52%-684.7M-269.50%-3.02B-664.64%-1.23B
Financing cash flow
Cash flow from continuing financing activities 70.78%-57.76M-109.57%-209.17M-654.28%-644.58M256.89%2.59B-3.17%484.5M-1,160.65%-197.66M701.00%2.19B274.89%116.29M339.81%725.34M244.22%500.35M
Net issuance payments of debt -2,360.63%-25M-89.89%75M-150.00%-75M--785.58M--75M---1.02M--741.6M---30M--0--0
Net common stock issuance -10,850.87%-106.77M--------910.98%1.35B--096.15%-975K--------83.78%-166.66M--0
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -2.67%-28.84M-4.00%-29.24M-14.79%-29.35M-10.41%-110.49M-15.29%-28.72M-12.60%-28.09M-12.30%-28.12M-1.52%-25.57M0.64%-100.07M-1.33%-24.91M
Net other financing charges 161.38%102.86M-222.56%-146.39M-414.35%-540.23M-43.36%561.94M-16.57%438.22M-343.26%-167.58M-65.07%119.44M207.18%171.86M70.43%992.08M13.39%525.26M
Cash from discontinued financing activities
Financing cash flow 70.78%-57.76M-109.57%-209.17M-654.28%-644.58M256.89%2.59B-3.17%484.5M-1,160.65%-197.66M701.00%2.19B274.89%116.29M339.81%725.34M244.22%500.35M
Net cash flow
Beginning cash position 72.38%1.63B51.05%1.61B57.20%1.88B-35.75%1.19B-0.69%1.2B-32.48%943.94M-31.95%1.06B-35.75%1.19B7.04%1.86B-16.41%1.2B
Current changes in cash -126.14%-64.55M119.97%23.98M-100.13%-265.57M198.62%677.64M114,972.10%683.49M219.56%246.94M32.47%-120.1M56.08%-132.7M-692.08%-687.15M-100.14%-595K
Effect of exchange rate changes 105.95%10.31M-1,203.09%-3.57M-352.37%-5.21M-75.34%5.54M80.07%-1.86M-60.54%5.01M-97.49%324K-66.68%2.07M265.50%22.47M-768.13%-9.31M
End cash position 31.53%1.57B72.38%1.63B51.05%1.61B57.20%1.88B57.20%1.88B-0.69%1.2B-32.48%943.94M-31.95%1.06B-35.75%1.19B-35.75%1.19B
Free cash flow 92.91%1.49B534.83%1.21B56.86%683.46M19.20%1.91B-30.10%512.5M28.46%772.47M89.19%190.97M159.00%435.71M29.87%1.6B69.35%733.2M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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