Financial Services » Insurance | Korean Reinsurance Co. Ltd.

Korean Reinsurance Co. Ltd. | Cash Flow

Fiscal year is January-December. All values KRW Millions.
2013
2014
2015
2016
2017
Other Funds
28,234
147
347
13
87
Funds from Operations
215,779
163,076
576,337
359,525
211,165
49,684
Net Operating Cash Flow
215,779
163,076
576,337
359,525
211,165
49,684
Capital Expenditures
1,249
29,318
1,802
5,054
5,114
Sale of Fixed Assets & Businesses
1
56
-
2,181
3
Purchase/Sale of Investments
124
199,357
132,082
365,417
576,554
Net Investing Cash Flow
2,153
227,989
132,627
369,235
578,986
Cash Dividends Paid - Total
-
19,708
25,846
40,204
37,332
Issuance/Reduction of Debt, Net
-
211,694
-
-
-
Net Financing Cash Flow
28,234
192,115
26,193
40,218
37,245
Net Change in Cash
185,391
127,203
417,518
50,009
402,478
Free Cash Flow
215,180
158,428
576,017
356,855
210,240
Other Sources
-
647
1,257
2,119
2,755
Change in Capital Stock
-
18
-
-
-
Exchange Rate Effect
-
-
1
82
2,588
Other Uses
2,153
18
-
3,064
77

About Korean Reinsurance Co.

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Address
Korean Reinsurance Building
Seoul SL 03151
Korea, Republic Of
Employees -
Website http://www.koreanre.co.kr
Updated 07/08/2019
Korean Reinsurance Co. engages in the reinsurance business. It operates through Non-Life Reinsurance and Life Reinsurance Business Divisions. The Non-Life Insurance division provides property, engineering, marine and casualty insurance.