PARTNERRE LTD (PREJF)

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CIK 0000911421 · OTC · Accident & Health Insurance

  • Sector Finance & Real Estate
  • Fiscal year ends Dec 31

In fiscal 2023, PARTNERRE LTD reported revenue of $9.12B, up 59.3% from the prior year. The company was profitable, with a net margin of 25.4% and a gross margin of 15.0%. It held $30.49B in total assets against $22.06B in total liabilities.

Key ratios (FY2023)

15.0%
Gross margin
25.4%
Net margin
27.5%
Return on equity
+59.3%
Revenue growth (YoY)
Metric (FY)2023202220212020201920182017201620152014
Revenue$9.12B$5.73B$7.40B$7.37B$7.88B$5.59B$5.67B$5.42B$5.43B$6.48B
Gross Profit$1.37B$994.00M$714.00M-$154.00M$147.00M$83.00M$64.00M$535.00M$895.00M$932.00M
Net Income$2.32B-$939.75M$764.19M$254.19M$936.75M-$85.99M$264.02M$447.31M$104.38M$1.05B
EPS (Diluted)$0.97$19.51
Total Assets$30.49B$27.39B$28.03B$26.90B$25.06B$22.82B$22.98B$21.94B$21.41B$22.27B
Total Liabilities$22.06B$20.99B$20.49B$19.57B$17.79B$16.30B$16.24B$15.25B$14.50B$15.17B
Shareholders' Equity$8.42B$6.40B$7.36B$7.33B$7.27B$6.52B$6.75B$6.69B$6.90B$7.05B
Cash & Equivalents$1.48B$877.91M$1.77B$1.77B$1.58B$1.31B
Operating Cash Flow$2.24B$1.47B$1.23B$1.12B$998.87M$447.49M$242.88M
Shares Outstanding100.00M100.00M100.00M100.00M100.00M
Dividends Per Share$2.80$2.68