Financial Services » Insurance | Greenlight Capital Re Ltd.

Greenlight Capital Re Ltd. Cl A | Cash Flow

Fiscal year is January-December. All values USD Thousands.
2013
2014
2015
2016
2017
2018
Funds from Operations
92,697.00
133,732.00
59,945.00
35,787.00
94,419.00
16,450
Net Operating Cash Flow
92,697.00
133,732.00
59,945.00
35,787.00
94,419.00
59,308
Capital Expenditures
1,040.00
-
-
-
-
Purchase/Sale of Investments
202,255.00
200,715.00
60,376.00
17,804.00
156,400.00
Net Investing Cash Flow
74,016.00
142,040.00
177,686.00
67,407.00
201,707.00
Net Financing Cash Flow
513.00
-
17,609.00
-
2,819.00
Net Change in Cash
18,168.00
8,308.00
100,132.00
109,276.00
295,668.00
Free Cash Flow
93,737.00
133,732.00
59,945.00
35,787.00
94,419.00
Other Sources
3,281.00
54,459.00
238,062.00
-
358,107.00
Change in Capital Stock
513.00
-
17,609.00
-
2,819.00
Exchange Rate Effect
-
-
-
6,082.00
2,361.00
Other Uses
130,480.00
113,134.00
-
85,211.00
-

About Greenlight Capital Re

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Address
65 Market Street
Camana Bay GT KY1
Cayman Islands
Employees -
Website http://www.greenlightre.ky
Updated 07/08/2019
Greenlight Capital Re Ltd. operates as a specialist property and casualty reinsurance company. It specializes in underwriting traditional property and casualty reinsurance; risk innovation and strategic partnerships. The company was founded on July 13, 2004 and is headquartered in Camana Bay, Cayman Islands.