Financial Services » Insurance | Singapore Reinsurance Corp. Ltd.

Singapore Reinsurance Corp. Ltd. | Cash Flow

Fiscal year is January-December. All values SGD Thousands.
2013
2014
2015
2016
2017
Other Funds
5.00
600.00
117.00
150.00
135.00
Funds from Operations
7,537.00
4,746.00
7,040.00
14,195.00
20,510.00
4,013
Net Operating Cash Flow
7,537.00
4,746.00
7,040.00
14,195.00
20,510.00
4,013
Capital Expenditures
121.00
261.00
410.00
179.00
147.00
Sale of Fixed Assets & Businesses
-
-
11.00
-
1.00
Purchase/Sale of Investments
13,730.00
2,806.00
8,430.00
3,792.00
1,555.00
Net Investing Cash Flow
13,597.00
3,067.00
8,031.00
3,613.00
1,409.00
Cash Dividends Paid - Total
8,472.00
9,078.00
10,894.00
6,657.00
7,867.00
Net Financing Cash Flow
8,477.00
8,478.00
10,777.00
6,807.00
8,002.00
Net Change in Cash
12,657.00
6,799.00
4,294.00
11,001.00
13,917.00
Free Cash Flow
7,416.00
4,485.00
6,630.00
14,016.00
20,363.00
Net Assets from Acquisitions
12.00
-
-
-
-

About Singapore Reinsurance Corp.

View Profile
Address
85 Amoy Street
Singapore CE 069904
Singapore
Employees -
Website http://www.singre.com.sg
Updated 07/08/2019
Singapore Reinsurance Corp. Ltd. engages in the reinsurance business. It operates through the following business segments: Reinsurance and Non-Reinsurance. The Reinsurance segment provides underwriting general reinsurance services.