RenaissanceRe Holdings Ltd. engages in the provision of reinsurance and insurance services. The company offers property, casualty, and specialty reinsurance, along with certain insurance solutions, primarily through intermediaries. The company has two reportable segments: Property and Casualty and Specialty. The Property segment includes catastrophe reinsurance, primarily excess of loss and retrocessional coverage for natural and man-made disasters, as well as other property business such as proportional reinsurance, property per risk, property reinsurance, binding facilities, and regional multi-line business. The Casualty and Specialty segment encompasses reinsurance activities across a range of complex, longer-tail risk categories, including general casualty, professional liability, credit, and other specialty lines of reinsurance. The firm combines data, technology, and the ability to deliver risk solutions and capacity through owned and managed partner balance sheets.
Milyon USD cinsinden finanslar. Mali yıl Şubat - Ocak'tır.
Breakdown
TTM
12/31/2025
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Hasılat
12,342
12,342
11,898
8,376
5,108
5,308
Hasılat Artışı (YoY)
4%
4%
42%
64%
-4%
3%
Satınalma Maliyeti
--
--
--
--
--
--
Brüt Kâr
--
--
--
--
--
--
Satış, Genel ve İdari
541
538
568
425
322
252
Araştırma ve Geliştirme
--
--
--
--
--
--
İşletme Giderleri
8,707
8,707
8,546
5,874
6,230
5,344
Diğer Finansman Gelirleri (Giderleri)
--
--
--
--
--
--
Kâr Öncesi Gelir
4,014
4,014
2,993
3,110
-1,218
-114
Kira Vergisi Gideri
396
396
32
-510
-59
-10
Net Kâr
2,603
2,604
1,807
2,488
-1,097
-74
Net Income Growth
Kâr Artışı
20%
44%
-27%
-327%
1,382%
-110%
Dolaşım Daki Hisse Senetleri (Dilüte Edilmiş)
44.12
46.48
51.33
47.6
43.04
47.17
Hisse Değişimi (Yıllık Üst Üste)
-12%
-9%
8%
11%
-9%
0%
EPS (Diluted)
59
56.03
35.2
52.27
-25.5
-1.57
EPS Artışı
37%
59%
-33%
-305%
1,522%
-110%
Öz sermaye akışı
3,693
3,693
4,164
1,911
1,603
1,234
Hisse Başı Öz Kaynak Akışı
--
--
--
--
--
--
Brüt Karşılık
--
--
--
--
--
--
Faaliyet Kâr Marjı
29.44%
29.44%
28.14%
29.83%
-6.24%
-0.65%
Kâr Marjı
21.09%
21.09%
15.18%
29.7%
-21.47%
-1.39%
Özsermaye Karlılık Oranı
29.92%
29.92%
34.99%
22.81%
31.38%
23.24%
EBITDA
--
3,636
3,349
2,499
-319
-35
EBITDA Marjinali
--
29.46%
28.14%
29.83%
-6.24%
-0.65%
D&A EBITDA için
--
2
0
0
0
0
Faaliyet Kârı
3,634
3,634
3,349
2,499
-319
-35
Faaliyet Kâr Marjı
29.44%
29.44%
28.14%
29.83%
-6.24%
-0.65%
Verilen Vergi Oranı
9.86%
9.86%
1.06%
-16.39%
4.84%
8.77%
Follow-Up Questions
¿Cuáles son los estados financieros clave de Renaissancere Holdings Ltd?
Según el último estado financiero (Form-10K), Renaissancere Holdings Ltd tiene un total de activos de $53,800, una ganancia neta kâr de $2,604
¿Cuáles son los ratios financieros clave para RNR.PRG?
El ratio corriente de Renaissancere Holdings Ltd es 1.27, el margen neto es 21.09, las ventas por acción son $265.51.
¿Cómo se desglosan los ingresos de Renaissancere Holdings Ltd por segmento o geografía?
Renaissancere Holdings Ltd en büyük gelir kaynağı Casualty and Specialty olup, en son kar bildiriminde geliri 6,245,408,000 dir. Coğrafi olarak, United States and Caribbean , Renaissancere Holdings Ltd için ana pazar olup, geliri 5,983,937,000 dir.
¿Es rentable Renaissancere Holdings Ltd?
evet, según los últimos estados financieros, Renaissancere Holdings Ltd tiene una ganancia neta kâr de $2,604
¿Tiene Renaissancere Holdings Ltd alguna deuda?
evet, Renaissancere Holdings Ltd tiene una deuda de 42,191
¿Cuántas acciones en circulación tiene Renaissancere Holdings Ltd?
Renaissancere Holdings Ltd tiene un total de acciones en circulación de 43.96