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Net change in
unearned insurance...
$589,200K
Net change in
reinsurance payable
$324,100K
Net change in loss
and loss adjustment...
$103,200K
Net realized and
unrealized investment...
-$65,200K
Change in fair value of
arks contingent...
$10,000K
Amortization (accretion) and
depreciation
$4,800K
Deferred income tax
expense (benefit)
$4,200K
Amortization of restricted
share awards
$4,100K
Net cash provided
from (used for)...
$30,500K
Canceled cashflow
$1,074,300K
Net change in cash
during the period
-$48,600K
Canceled cashflow
$30,500K
Draw down of debt and
revolving lines of credit
$6,400K
Contributions from other
noncontrolling interests
$700K
Net change in
short-term investments
-$384,100K
Sales of fixed
maturity investments
$145,100K
Maturities, calls and
paydowns of fixed...
$143,800K
Sales of common equity
securities and investment...
$35,600K
Release of cash
(pre-funding) of investment...
-$30,000K
Distributions and redemptions
of other long-term...
$6,300K
Proceeds from the sale of
bamboo group
$6,000K
Net change in
insurance premiums,...
$455,600K
Net change in
reinsurance recoverables
$343,200K
Net change in
deferred acquisition...
$89,500K
Net other operating
activities
$57,100K
Net change in
accrued incentive...
$52,100K
Net income (loss)
-$26,300K
Contributions to kudus
participation contracts
$25,400K
Net realized and
unrealized investment...
$10,800K
Interest income from bam
surplus notes-HGGlobal...
$6,900K
Net change in
premiums and commissions...
-$5,000K
Net gain on sale of
the bamboo group
$2,400K
Net cash provided
from (used for)...
-$49,300K
Canceled cashflow
$7,100K
Net cash provided
from (used for)...
-$29,800K
Canceled cashflow
$750,900K
Repurchases and retirements
of common shares
$25,900K
Distributions to other
noncontrolling interests
$19,400K
Repayment of debt and
revolving lines of credit
$8,700K
Cash dividends paid
to common...
$2,400K
Purchases of fixed
maturity investments
$425,400K
Purchases of other
long-term investments
$217,700K
Purchases of common equity
securities and investment...
$123,900K
Net other investing
activities
$13,700K
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Cash Flow
WHITE MOUNTAINS INSURANCE GROUP LTD (WTM)
WHITE MOUNTAINS INSURANCE GROUP LTD (WTM)
source: myfinsight.com