RenaissanceRe Holdings Ltd. company logo
RenaissanceRe Holdings Ltd. logo

RenaissanceRe Holdings Ltd. (RNR) Cash From Financing

Annual CFF

-$881.73M$2.89B-143.95%

Summary

Current Value
As of today, RNR annual cash from financing is -$881.73M, down -143.95% on
Historical Performance
RNR annual cash from financing is up +1.67% over the past 3 years, and down -400.90% over the past 5 years
All-Time High Comparison
RNR annual cash from financing is currently -143.95% below its historical high of $2.01B set on
3-Year Low Comparison
RNR annual cash from financing is at its 3-year low
Sector Comparison
RNR annual cash from financing is higher than 7.94% of companies in Financial Services sector

Cash From Financing Chart

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Series
SUGGESTED SERIES

Performance

RNR Performance
MetricDateValue1Y3Y5Y15Y
Annual Cash From Financing-$881.73M-143.9%+1.7%-400.9%-149.7%
Quarterly Cash From Financing-$270.82M-68.5%-438.4%-980.1%-1018.1%
TTM Cash From Financing-$1.24B-307.8%-116.1%-325.4%-163.1%
Price$273.15+7.8%+44.4%+64.3%+340.7%
Annual Cash From Operations$4.16B+117.9%+237.3%+94.9%+607.2%
Annual Cash From Investing-$3.47B-7.0%-1461.4%-60.4%-1500.7%
Annual Dividends Paid$116.22M+5.2%+15.4%+20.9%+13.9%
Annual Total Debt$2.02B-3.0%+66.6%+39.3%+574.0%
Shares Outstanding46.11M-8.1%+5.5%-9.3%

Cash From Financing Highs

RNR Annual Cash From Financing Highs Comparison
PeriodHighDateCurrent
3Y$2.01B-143.9%
5Y$2.01B-143.9%
All$2.01B-143.9%

Cash From Financing Lows

RNR Annual Cash From Financing Lows Comparison
PeriodLowDateCurrent
3Y-$881.73Mat low
5Y-$896.74M+1.7%
All-$896.74M+1.7%

Cash From Financing History

YearValueChange
-$881.73M-144.0%
$2.01B+822.6%
-$277.65M+69.0%
-$896.74M-264.2%
$546.14M+86.4%
$293.03M-26.9%
$400.66M+273.0%
-$231.62M+39.6%
-$383.40M-450.6%
$109.37M+118.8%
-$582.97M-48.3%
-$393.21M+44.1%
-$703.50M-29.7%
-$542.24M-1.4%
-$534.59M-51.4%
-$353.05M+35.6%
YearValueChange
-$548.46M-8.0%
-$507.85M-375.4%
$184.39M-43.8%
$328.21M+177.9%
$118.10M+7.3%
$110.06M+76.7%
$62.28M-91.9%
$765.86M+399.3%
-$255.85M-889.0%
$32.43M+141.4%
-$78.31M-8.8%
-$72.00M-60.6%
-$44.82M-249.9%
$29.90M-70.6%
$101.69M-

FAQ

  • What is the current annual cash from financing of RNR?

    As of today, RNR annual cash from financing is -$881.73M

  • What is 1-year change in RNR annual cash from financing?

    RNR annual cash from financing is down -143.95% year-over-year

  • What is 3-year change in RNR annual cash from financing?

    RNR annual cash from financing is up +1.67% over the past 3 years

  • How far is RNR annual cash from financing from its all-time high?

    RNR annual cash from financing is currently -143.95% below its historical high of $2.01B set on December 31, 2023

  • How does RNR annual cash from financing rank versus sector peers?

    RNR annual cash from financing is higher than 7.94% of companies in Financial Services sector

  • When is RNR next annual earnings release?

    The next annual earnings release for RNR is on

Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

Data Sources & References

  1. RNR Official Website www.renre.com
  2. Most Recent Quarterly Report (10-Q) www.sec.gov/Archives/edgar/data/913144/000091314425000094/0000913144-25-000094-index.htm
  3. Most Recent Annual Report (10-K) www.sec.gov/Archives/edgar/data/913144/000091314425000009/0000913144-25-000009-index.htm
  4. RNR Profile on Yahoo Finance finance.yahoo.com/quote/RNR
  5. RNR Profile on NASDAQ.com www.nasdaq.com/market-activity/stocks/rnr