| Balance Sheets | 2025-09-30 | 2025-06-30 | ||
|---|---|---|---|---|
| Fixed maturity investments trading, at fair value amortized cost 23,554,856 at september30, 2025 (december31, 2024 23,750,540) (notes 3 and 4) | 23,772,222 | 23,332,063 | ||
| Short term investments, at fair value amortized cost 6,018,765 at september30, 2025 (december31, 2024 4,532,166) (notes 3 and 4) | 6,018,146 | 5,663,239 | ||
| Equity investments, at fair value (notes 3 and 4) | 1,465,833 | 912,445 | ||
| Other investments, at fair value (notes 3 and 4) | 4,432,389 | 4,476,056 | ||
| Investments in other ventures, under equity method | 115,597 | 112,580 | ||
| Total investments | 35,804,187 | 34,496,383 | ||
| Cash and cash equivalents | 1,701,568 | 1,428,681 | ||
| Premiums receivable (note 5) | 8,130,508 | 9,105,612 | ||
| Prepaid reinsurance premiums (note 5) | 1,216,757 | 1,415,647 | ||
| Reinsurance recoverable (notes 5 and 6) | 4,085,093 | 4,300,973 | ||
| Accrued investment income | 225,254 | 228,826 | ||
| Deferred acquisition costs and value of business acquired | 1,656,042 | 1,732,278 | ||
| Deferred tax asset | 705,469 | 699,675 | ||
| Receivable for investments sold | 54,571 | 281,115 | ||
| Other assets | 267,297 | 369,582 | ||
| Goodwill and other intangible assets | 651,328 | 668,751 | ||
| Total assets | 54,498,074 | 54,727,523 | ||
| Reserve for claims and claim expenses (note 6) | 22,712,860 | 22,913,763 | ||
| Unearned premiums | 6,986,618 | 7,561,155 | ||
| Debt (note 7) | 2,229,135 | 2,263,379 | ||
| Reinsurance balances payable | 2,703,090 | 3,047,964 | ||
| Payable for investments purchased | 298,908 | 492,063 | ||
| Other liabilities | 596,038 | 606,398 | ||
| Total liabilities | 35,526,649 | 36,884,722 | ||
| Redeemable noncontrolling interests (note 8) | 7,469,059 | 7,043,107 | ||
| Preference shares 1.00 par value 30,000 shares issued and outstanding at september30, 2025 (december31, 2024 30,000) (note 10) | 750,000 | 750,000 | ||
| Common shares 1.00 par value 46,501,144 shares issued and outstanding at september30, 2025 (december31, 2024 50,180,987) (note 10) | 46,501 | 47,370 | ||
| Additional paid-in capital (note 10) | 605,305 | 791,004 | ||
| Accumulated other comprehensive income (loss) | -13,647 | -13,766 | ||
| Retained earnings (note 10) | 10,114,207 | 9,225,086 | ||
| Total shareholders equity attributable to renaissancere | 11,502,366 | 10,799,694 | ||
| Total liabilities, noncontrolling interests and shareholders equity | 54,498,074 | 54,727,523 | ||
RENAISSANCERE HOLDINGS LTD (RNR)
RENAISSANCERE HOLDINGS LTD (RNR)