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PREJF · Partnerre Ltd · Financials

Track PREJF — free
$16.01 +0.32 (+2.02%) At close · Sep 17
Shares
100.00M

Income-statement, balance-sheet and cash-flow figures from SEC filings, plus a debt profile anchored in the latest 10-K and updated by each 10-Q and debt exhibit.

Revenue
$9.12B +59.3%
FY2023 Revenue FY2008–FY2023
Net Income
$2.32B +346.7%
FY2023 Net Income FY2008–FY2023
Gross Margin
14.97% -2.4pp
FY2023 Gross Margin FY2008–FY2023
Diluted EPS
$0.97 -95%
FY2015 Diluted EPS FY2008–FY2015
Operating Cash Flow
$2.24B +52.3%
FY2023 Operating Cash Flow FY2008–FY2023

Chart any reported metric, KPI or segment over time — the full statement history lives here

Line Item FY2023 FY2022 FY2021 FY2020 FY2019 FY2018 FY2017 FY2016 FY2015 FY2014 FY2013 FY2012 FY2011 FY2010 FY2009 FY2008
$9.12B $5.73B $7.4B $7.37B $7.88B $5.59B $5.67B $5.42B $5.43B $6.48B $5.54B $5.56B $5.35B $5.86B $5.42B $3.98B
$7.92B $7.26B $6.96B $6.54B $6.53B $5.51B $5.02B $4.97B $5.27B $5.61B $5.2B $4.49B $4.65B $4.78B $4.12B $3.93B
$1.37B $994M $714M -$154M $147M $83M $64M $535M $895M $932M $962M $744M -$663M $520M $939M $420M
14.97% 17.36% 9.65% -2.09% 1.87% 1.48% 1.13% 9.87% 16.48% 14.39% 17.37% 13.38% -12.39% 8.87% 17.33% 10.55%
$7.91M $8.91M $8.86M $9.99M $11.43M $35.47M $24.65M $25.92M $26.59M $27.49M $27.18M $31.8M $36.41M $31.46M -$6.13M $0
$5.12M $2.21M $0 $6.12M $2.98M
$57.53M $55.19M $55.61M $39.2M $40.15M $43.15M $42.5M $48.6M $48.99M $48.96M $48.93M $48.9M $48.95M $44.41M $28.3M $51.23M
-$15.04M $10.82M $126.8M $23.61M $15.64M $10.61M $85.7M -$22.92M $6.38M $15.27M $13.67M $9.95M -$6.37M $12.6M $15.55M -$5.57M
$517.43M -$1.97B $37.8M $454.32M $886.67M -$389.63M $232.49M $26.27M -$297.48M $371.8M -$160.74M $493.41M $66.69M $401.48M $591.71M -$531.36M
$1.99B -$897.86M $804.16M $241.1M $989.28M -$94.93M $274.38M $496.15M $180.44M $1.29B $708.19M $1.33B -$444.95M $968.74M $1.78B $61.85M
-$327.92M $41.9M $39.97M -$13.09M $52.54M -$8.93M $10.36M $25.92M $79.66M $239.51M $48.42M $204.28M $68.97M $128.78M $262.09M $9.71M
$2.32B -$939.75M $764.19M $254.19M $936.75M -$85.99M $264.02M $447.31M $104.38M $1.05B $664.01M $1.13B -$520.29M $852.55M $1.54B $46.57M
25.41% -16.41% 10.33% 3.45% 11.89% -1.54% 4.65% 8.25% 1.92% 16.29% 11.99% 20.4% -9.72% 14.55% 28.36% 1.17%
$0 $0 $2.77M $13.14M $9.43M $0 $0 $4.3M
$2.31B -$949.5M $720.26M $205.86M $890.33M -$132.41M $217.61M $387.36M $47.65M $998.24M $597.01M $1.07B -$567.31M $818.03M $1.5B $12.04M
$2.25B -$772.47M $888.41M $234.11M $999.46M -$134.35M $248.31M $456.02M $55.18M $1.03B $641.17M $1.16B -$536.99M $771.68M $1.6B -$113.91M
USD/shares $1.00 $19.96 $10.78 $17.05 -$8.40 $10.65 $23.93 $0.22
USD/shares $0.97 $19.51 $10.58 $16.87 -$8.40 $10.46 $23.51 $0.22
shares 47.77M 50.02M 55.38M 62.92M 67.56M 76.84M 62.79M 54.35M
shares 48.94M 51.17M 56.45M 63.62M 67.56M 78.23M 63.89M 55.64M
Italic rows are computed from reported lines — open a row's info icon for its formula. Values reflect the latest filing (restatements included); per-share figures on today's split basis. Click a value for its source filing. 3Y/5Y/10Y columns are trailing CAGR from the newest fiscal year; blank where an endpoint is missing or negative.

Capital Returned to Shareholders

Cash spent on share repurchases and dividends per fiscal year, as reported on the cash-flow statement. Across FY2008–FY2023: $3.43B in buybacks, $2.67B in dividends.

Debt Profile

No verified debt profile is available yet. This does not establish that the company has no debt or covenants.

Key facts CIK 911421 CUSIP G68603169 Visit website