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Effect of exchange rate
changes on foreign...
$14,479K
Increase (decrease) in
cash, cash...
-$1,742,436K
Canceled cashflow
$14,479K
Fixed maturities,
available for sale
$6,811,178K
Proceeds from redemption
of fixed...
$1,616,339K
Short-term investments
$315,659K
Proceeds from redemption
of fixed...
$171,219K
Proceeds from the
repayment of mortgage...
$153,341K
Other investments
$140,623K
Proceeds from redemption
of short-term...
$134,973K
Equity securities
$98,865K
Net income
$1,008,898K
Reserve for losses and
loss expenses
$906,298K
Unearned premiums
$614,481K
Other items
-$149,817K
Other amortization
and depreciation
$56,379K
Share-based compensation
expense, net of cash...
$45,214K
Net cash used in
financing activities
-$1,087,258K
Net cash provided by
(used in) investing...
-$628,725K
Net cash provided by
(used in) operating...
-$40,932K
Canceled cashflow
$9,442,197K
Canceled cashflow
$2,781,087K
Repurchase of common shares
$887,717K
Dividends paid - common
shares
$142,732K
Dividends paid - preferred
shares
$30,250K
Taxes paid on
withholding shares
$26,559K
Fixed maturities,
available for sale
$9,183,843K
Reinsurance recoverable on
unpaid losses and loss...
$2,120,523K
Short-term investments
$244,688K
Other investments
$170,182K
Loan advances made
$138,672K
Equity securities
$130,880K
Fixed maturities,
held to maturity
$125,203K
Proceeds from the
purchase of other assets,...
$51,282K
Mortgage loans
$15,437K
Equity method
investments
$10,735K
Prepaid reinsurance
premiums
$203,531K
Reinsurance recoverable on
paid losses and loss...
$190,804K
Deferred acquisition
costs
$115,444K
Net realized and
unrealized gains on other...
$67,961K
Net investment
(gains) losses
$56,045K
Amortization of fixed
maturities
$39,612K
Insurance and reinsurance
balances, net
$16,349K
Interest in income of
equity method...
$9,452K
Accrued interest
receivable
$2,298K
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source: myfinsight.com
AXIS CAPITAL HOLDINGS LTD (AXS-PE)
AXIS CAPITAL HOLDINGS LTD (AXS-PE)