Financial Services » Insurance | Oxbridge Re Holdings Ltd.

Oxbridge Re Holdings Ltd. | Cash Flow

Fiscal year is January-December. All values USD Thousands.
2014
2015
2016
2017
2018
Funds from Operations
3,372.00
5,460.00
2,188.00
20,219.00
7,317
Changes in Working Capital
5,307.00
2,666.00
1,772.00
6,091.00
684
Net Operating Cash Flow
8,679.00
8,126.00
416.00
26,310.00
6,633
Capital Expenditures
59.00
36.00
11.00
6.00
Purchase/Sale of Investments
11,180.00
275.00
48.00
4,673.00
Net Investing Cash Flow
29,299.00
239.00
59.00
4,667.00
Cash Dividends Paid - Total
1,708.00
2,908.00
2,885.00
2,091.00
Net Financing Cash Flow
25,242.00
2,908.00
3,627.00
3,152.00
Net Change in Cash
4,622.00
5,457.00
3,270.00
24,795.00
Free Cash Flow
8,620.00
8,090.00
405.00
26,316.00
Change in Capital Stock
26,950.00
-
742.00
1,061.00
Other Uses
18,060.00
-
-
-

About Oxbridge Re Holdings

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Address
42 Edward Street
George Town GT KY1
Cayman Islands
Employees -
Website http://www.oxbridgere.com
Updated 07/08/2019
Oxbridge Re Holdings Ltd. is engages in the provision of reinsurance business solutions to property and casualty insurers in the Gulf Coast region of the United States. Through its subsidiaries, it fully collateralizes policies to cover property losses from specified catastrophes. The company was founded on April 4, 2013 and is headquartered in George Town, Cayman Islands.