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PREJF · Partnerre Ltd

$15.85 -0.14 (-0.88%) At close · Jul 21
Shares
100.00M

Income-statement, balance-sheet and cash-flow figures extracted from the company's SEC filings — 10-K annual and 10-Q quarterly reports — and standardised for comparison across periods.

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.

Key facts CIK 911421 CUSIP G68603169 Visit website