7Baggers

RenaissanceRe Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Cash and Cash Eq  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 00.270.540.81.071.341.611.88Billion

RenaissanceRe Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2016-03-31 2014-09-30 2012-03-31 2011-03-31 2010-03-31 2009-09-30 2009-06-30 2009-03-31 2008-09-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 
                                                  
  assets                                                
  fixed maturity investments trading, at fair value – amortized cost 23,179,116 at june 30, 202523,332,063,000                                                
  short term investments, at fair value – amortized cost 5,663,505 at june 30, 20255,663,239,000                                                
  equity investments, at fair value912,445,000 887,508,000 117,756,000 133,091,000 114,405,000 119,992,000 106,766,000 95,342,000 93,058,000 551,394,000 625,058,000                                      
  other investments, at fair value4,476,056,000 4,239,952,000 4,324,761,000 4,172,451,000 3,809,421,000 3,468,281,000 3,515,566,000 3,167,941,000 3,091,686,000 2,700,655,000 2,494,954,000 2,263,164,000 2,314,232,000 2,182,479,000 1,993,059,000 1,738,737,000 1,585,036,000 1,379,056,000 1,256,948,000 1,122,683,000 1,093,338,000 1,058,714,000 1,087,377,000 962,109,000 955,437,000 496,900,000 501,487,000 806,782,000 782,325,000 866,865,000 812,056,000 779,416,000 733,023,000 902,328,000 927,247,000 858,621,000 716,686,000 661,709,000 620,576,000 559,256,000 526,844,000 506,974,000 774,234,000 838,199,000 800,506,000 590,461,000   
  investments in other ventures, under equity method112,580,000 101,227,000 102,770,000 137,959,000 151,608,000 99,684,000 112,624,000 101,103,000 89,505,000 84,731,000 79,750,000 72,535,000 75,979,000 81,106,000 98,068,000 93,344,000 91,938,000 91,362,000 98,373,000 98,990,000 94,285,000 90,396,000 106,549,000 103,978,000 100,396,000 131,692,000 118,245,000 76,723,000 78,623,000 84,942,000 94,859,000 91,677,000 88,159,000 117,789,000 104,438,000 99,466,000 176,256,000 235,371,000 239,021,000 195,787,000 186,979,000 172,618,000 175,482,000 165,371,000 176,651,000 150,551,000 178,052,000 193,532,000 
  total investments34,496,383,000 33,593,149,000 32,639,456,000 33,033,677,000 30,528,557,000 29,636,582,000 29,216,143,000 25,966,639,000 25,536,782,000 23,209,460,000 22,220,436,000 20,893,150,000 20,597,808,000 20,851,218,000 21,442,659,000 20,866,441,000 20,065,105,000 20,373,932,000 20,558,176,000 20,319,333,000 19,723,649,000 17,818,597,000 17,368,789,000 16,947,893,000 16,388,316,000 9,040,201,000 6,731,424,000 6,411,543,000 6,303,066,000 6,350,631,000 6,292,767,000 6,176,005,000 6,122,366,000 6,103,612,000 6,207,914,000 6,340,194,000 6,787,349,000 6,344,441,000 6,199,025,000 5,772,418,000 5,705,371,000 5,403,150,000 5,311,555,000 5,063,149,000 4,922,357,000 4,967,169,000   
  cash and cash equivalents1,428,681,000 1,632,797,000 1,676,604,000 1,572,911,000 1,627,147,000 1,606,739,000 1,877,518,000 1,195,884,000 943,935,000 1,063,707,000 1,194,339,000 1,204,241,000 1,398,095,000 1,563,056,000 1,859,019,000 1,440,734,000 1,789,756,000 1,286,661,000 1,736,813,000 1,287,378,000 1,185,844,000 896,216,000 1,379,068,000 871,251,000 670,626,000 449,149,000 300,547,000 260,982,000 252,631,000 358,773,000 347,993,000 209,933,000 249,340,000 427,176,000 262,951,000 335,409,000 317,295,000 266,455,000 270,608,000 245,817,000 187,340,000 240,684,000 156,878,000 186,968,000 161,699,000 139,337,000 74,130,000 91,148,000 
  premiums receivable9,105,612,000 8,437,901,000 7,290,228,000 8,226,928,000 8,792,401,000 8,431,335,000 7,280,682,000 5,928,809,000 6,490,886,000 5,933,701,000 5,139,471,000 5,479,305,000 5,408,217,000 4,851,513,000 3,781,542,000 4,141,899,000 4,481,492,000 3,928,122,000 2,894,631,000 3,337,120,000 3,519,965,000 3,105,441,000 2,599,896,000 2,799,954,000 3,140,688,000 1,094,116,000 630,718,000 703,932,000 574,547,000 511,832,000 826,562,000 1,071,666,000 593,199,000 728,046,000 965,955,000 499,384,000 714,495,000 927,657,000 538,720,000 623,869,000 857,687,000 566,956,000 478,665,000 552,693,000 453,547,000 270,845,000 404,676,000 434,222,000 
  prepaid reinsurance premiums1,415,647,000 1,213,867,000 888,332,000 1,197,533,000 1,433,967,000 1,282,860,000 924,777,000 1,028,916,000 1,187,177,000 1,130,831,000 1,021,412,000 1,233,551,000 1,354,565,000 1,185,982,000 854,722,000 1,137,556,000 1,361,041,000 1,229,716,000 823,582,000 1,082,270,000 1,266,203,000 1,151,926,000 767,781,000 972,047,000 1,158,534,000 444,954,000 195,978,000 143,690,000 125,722,000                    
  reinsurance recoverable4,300,973,000 4,577,895,000 4,481,390,000 4,738,637,000 4,854,735,000 4,993,680,000 5,344,286,000 4,253,259,000 4,689,351,000 4,706,671,000 4,710,925,000 4,969,244,000 4,206,459,000 4,319,490,000 4,268,669,000 4,192,758,000 3,187,638,000 3,160,667,000 2,926,010,000 2,883,808,000 2,774,358,000 2,765,583,000 2,791,297,000 2,438,299,000 2,865,150,000 167,228,000 79,043,000 279,398,000 324,124,000                    
  accrued investment income228,826,000 216,780,000 238,290,000 223,003,000 225,671,000 196,893,000 205,713,000 153,573,000 147,824,000 121,681,000 121,501,000 84,508,000 75,302,000 60,802,000 55,740,000 55,620,000 56,804,000 62,573,000 66,743,000 71,947,000 70,004,000 73,496,000 72,461,000 73,509,000 76,949,000 37,492,000 25,514,000 30,782,000 33,580,000 32,784,000 34,076,000 29,209,000 23,927,000 35,134,000 32,976,000 36,337,000 41,483,000 41,824,000 41,881,000 38,437,000 37,639,000 31,785,000 26,754,000 29,485,000 27,294,000 26,252,000 31,811,000 23,386,000 
  deferred acquisition costs and value of business acquired1,732,278,000 1,684,843,000 1,552,359,000 1,719,100,000 1,815,617,000 1,822,163,000 1,751,437,000     1,181,156,000 1,089,426,000 999,712,000 849,160,000 893,265,000 883,926,000 786,941,000 633,521,000 697,346,000 734,286,000 739,875,000 663,991,000 708,258,000 780,756,000                        
  deferred tax asset699,675,000 764,711,000 701,053,000 650,712,000 703,097,000 669,635,000 685,040,000                                          
  receivable for investments sold281,115,000 160,587,000 91,669,000 332,048,000 558,917,000 1,168,305,000 622,197,000 480,727,000 508,887,000 267,161,000 350,526,000 298,346,000 279,442,000 486,705,000 380,442,000 322,553,000 457,458,000 841,156,000 568,293,000 752,936,000 648,458,000 341,786,000 78,369,000 225,147,000 395,787,000 204,306,000 147,206,000 237,372,000 136,943,000 53,863,000 188,497,000 332,763,000 308,483,000 368,313,000 209,320,000 349,835,000 197,110,000 193,387,000 109,554,000          
  other assets369,582,000 664,706,000 444,037,000 344,383,000 290,018,000 377,268,000 323,960,000 334,284,000 358,863,000 358,203,000 384,702,000 353,147,000 384,436,000 287,485,000 224,053,000 240,491,000 196,959,000 318,249,000 363,170,000 306,265,000 298,396,000 312,523,000 346,216,000 344,593,000 344,938,000 167,514,000 108,443,000 205,660,000 176,644,000 171,577,000 201,982,000 206,455,000 165,492,000 178,163,000 156,970,000 120,503,000 147,041,000 134,190,000 138,427,000 93,320,000 86,121,000 88,332,000 55,637,000 51,392,000 46,211,000 60,806,000 39,498,000 32,766,000 
  goodwill and other intangible assets668,751,000 686,147,000 704,132,000 717,478,000 737,462,000 758,874,000 775,352,000 233,897,000 235,218,000 236,517,000 237,828,000 239,187,000 240,647,000 242,116,000 243,496,000 245,015,000 246,576,000 248,080,000 249,641,000 257,437,000 258,591,000 260,076,000 262,226,000 263,259,000 265,217,000 261,662,000 7,954,000 9,077,000                     
  total assets54,727,523,000 53,633,383,000 50,707,550,000 52,756,410,000 51,567,589,000 50,944,334,000 49,007,105,000 40,843,076,000 41,399,915,000 38,270,327,000 36,552,878,000 35,935,835,000 35,034,397,000 34,848,079,000 33,959,502,000 33,536,332,000 32,726,755,000 32,236,097,000 30,820,580,000 30,995,840,000 30,479,754,000 27,465,519,000 26,330,094,000 25,644,210,000 26,086,961,000 12,153,913,000 8,356,935,000 8,353,598,000 8,015,100,000 7,935,672,000 8,544,699,000 8,805,437,000 8,059,909,000 8,589,239,000 8,550,276,000 8,169,942,000 8,761,338,000 8,558,363,000 7,787,116,000 7,539,557,000 7,738,629,000 7,158,262,000 6,791,604,000 6,330,215,000 6,065,279,000 5,819,013,000 5,793,048,000 5,550,406,000 
  liabilities, noncontrolling interests and shareholders’ equity                                                
  liabilities                                                
  reserve for claims and claim expenses22,913,763,000 22,857,131,000 21,303,491,000 21,221,194,000 20,740,928,000 20,369,610,000 20,486,869,000 15,955,165,000 16,138,128,000 15,996,826,000 15,892,573,000 15,662,955,000 13,442,806,000 13,510,304,000 13,294,630,000 13,233,244,000 10,944,742,000 10,953,383,000 10,381,138,000 9,900,615,000 9,365,469,000 9,406,707,000 9,384,349,000 8,602,437,000 8,484,848,000 2,811,523,000 1,532,780,000 1,858,203,000 2,070,095,000 1,695,397,000 1,837,879,000 1,938,295,000 1,992,049,000 2,433,420,000 2,009,803,000 1,986,006,000 2,128,644,000 2,128,216,000 2,109,864,000 2,155,213,000 2,347,525,000 2,419,252,000 2,300,231,000 1,474,235,000 1,541,997,000 1,736,058,000 1,100,159,000 1,013,448,000 
  unearned premiums7,561,155,000 6,999,119,000 5,950,415,000 7,041,149,000 7,696,980,000 7,247,615,000 6,136,135,000 5,222,496,000 5,717,302,000 5,250,642,000 4,559,107,000 5,046,150,000 5,117,217,000 4,546,305,000 3,531,213,000 4,039,546,000 4,284,260,000 3,833,155,000 2,763,599,000 3,276,156,000 3,549,641,000 3,245,914,000 2,530,975,000 2,967,535,000 3,362,520,000 1,261,454,000 758,272,000 646,733,000 500,165,000                    
  debt2,263,379,000 2,753,738,000 1,886,689,000 1,935,928,000 1,960,167,000 1,884,411,000 1,958,655,000 1,882,893,000 1,882,101,000 1,140,960,000 1,170,442,000 1,169,917,000 1,169,393,000 1,168,872,000 1,168,353,000 1,137,829,000 1,137,304,000 1,136,783,000 1,136,265,000 1,135,740,000 1,135,216,000 1,134,695,000 1,384,105,000 1,383,498,000 1,382,890,000 957,536,000 249,499,000 351,999,000 549,178,000 549,086,000 450,000,000 450,000,000 450,000,000 450,000,000 450,000,000 450,999,000 450,540,000 450,000,000 450,000,000 410,000,000 485,000,000 500,000,000 350,000,000 350,000,000 350,000,000 350,000,000 350,000,000 350,000,000 
  reinsurance balances payable3,047,964,000 2,857,122,000 2,804,344,000 3,179,282,000 3,387,484,000 3,353,834,000 3,186,174,000 3,323,606,000 3,780,410,000 3,989,660,000 3,928,281,000 4,158,610,000 4,385,834,000 4,319,657,000 3,860,963,000 3,964,137,000 4,489,841,000 4,254,645,000 3,488,352,000 3,915,804,000 4,094,027,000 3,775,375,000 2,830,691,000 2,910,601,000 3,280,048,000 618,344,000 501,155,000 285,207,000 256,663,000 241,544,000 457,947,000 499,437,000 289,522,000 360,829,000 408,775,000 263,700,000 358,333,000 344,945,000 232,832,000 437,653,000 477,477,000 268,620,000 340,954,000 326,887,000 315,935,000 195,134,000 88,741,000 95,440,000 
  payable for investments purchased492,063,000 551,871,000 150,721,000 606,601,000 778,369,000 1,427,932,000 661,611,000 811,578,000 547,974,000 389,440,000 493,776,000 589,886,000 517,753,000 907,945,000 1,170,568,000 718,099,000 795,185,000 1,133,787,000 1,132,538,000 1,597,893,000 1,259,116,000 636,136,000 225,275,000 654,685,000 554,696,000 454,593,000 284,295,000 361,460,000 417,257,000 136,838,000 247,502,000 468,329,000 590,401,000 545,100,000 247,482,000 387,838,000 511,153,000 200,833,000 138,110,000          
  other liabilities606,398,000 575,726,000 1,060,129,000 668,673,000 489,458,000 570,164,000 1,021,872,000 396,487,000 254,925,000 279,878,000 648,036,000 251,485,000 309,938,000 314,141,000 755,441,000 235,665,000 201,398,000 436,437,000 970,121,000 391,494,000 342,014,000 351,320,000 932,024,000 395,186,000 396,651,000 208,533,000 203,908,000 242,257,000 165,717,000 221,001,000 251,504,000 198,710,000 171,738,000 195,071,000 165,905,000 156,185,000 148,388,000 114,406,000 104,300,000 123,827,000 118,191,000 65,850,000 60,977,000 108,319,000 58,104,000 84,269,000 88,773,000 91,066,000 
  total liabilities36,884,722,000 36,594,707,000 33,155,789,000 34,652,827,000 35,053,386,000 34,853,566,000 33,451,316,000 27,592,225,000 28,320,840,000 27,047,406,000 26,692,215,000 26,879,003,000 24,942,941,000 24,767,224,000 23,781,168,000 23,328,520,000 21,852,730,000 21,748,190,000 19,872,013,000 20,217,702,000 19,745,483,000 18,550,147,000 17,287,419,000 16,913,942,000 17,461,653,000 6,311,983,000 3,529,909,000 3,758,398,000 3,975,321,000 3,485,856,000 4,077,531,000 4,701,273,000 4,287,743,000 4,848,464,000 4,382,344,000 4,025,139,000 4,477,772,000 4,384,139,000 3,803,988,000 4,129,919,000 4,644,677,000 4,210,444,000 4,001,131,000 3,125,781,000 3,078,418,000 3,051,024,000 2,594,146,000 2,421,399,000 
  commitments and contingencies                                                
  redeemable noncontrolling interests7,043,107,000 6,690,173,000 6,977,749,000 6,860,999,000 6,335,308,000 6,297,983,000 6,100,831,000 5,662,234,000 5,676,262,000 5,357,386,000 4,535,389,000 4,174,960,000 4,352,797,000 3,963,895,000 3,554,053,000 3,458,298,000 3,656,419,000 3,409,570,000 3,388,319,000 3,387,317,000 3,387,099,000 3,231,846,000 3,071,308,000 2,779,033,000 2,712,466,000                        
  shareholders’ equity                                                
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at june 30, 2025750,000,000                                                
  common shares: 1.00 par value – 47,369,822 shares issued and outstanding at june 30, 202547,370,000                                                
  additional paid-in capital791,004,000 1,146,653,000 1,512,435,000 1,959,061,000 2,048,921,000 2,137,343,000 2,144,459,000 1,836,742,000 1,825,215,000 467,623,000 475,647,000 465,565,000 479,085,000 513,631,000 608,121,000 927,862,000 1,153,881,000 1,450,627,000 1,623,206,000 1,615,328,000 1,602,738,000 502,608,000 568,277,000 560,166,000 552,210,000 422,422,000  379,000   25,494,000 18,600,000 11,373,000    212,297,000 283,693,000 279,979,000          
  accumulated other comprehensive income-13,766,000 -14,844,000 -14,756,000 -13,027,000 -13,409,000 -13,778,000 -14,211,000 -14,506,000 -14,050,000 -14,838,000 -15,462,000 -16,773,000 -15,168,000 -12,834,000 -10,909,000         4,988,000  1,665,000 3,829,000 12,988,000 19,845,000 30,771,000 78,338,000 12,065,000 69,530,000 16,544,000 35,562,000 65,363,000 29,649,000 12,939,000 27,420,000 25,472,000 4,993,000 2,088,000 28,382,000 61,361,000 37,678,000 87,357,000 75,168,000 118,606,000 
  retained earnings9,225,086,000 8,417,766,000 8,276,152,000 8,494,610,000 7,340,962,000 6,866,312,000 6,522,016,000 4,965,207,000 4,790,466,000 4,618,818,000 4,071,371,000 3,639,378,000 4,480,861,000 4,821,970,000 5,232,624,000 5,037,821,000 5,504,760,000 5,065,122,000 5,373,873,000 5,201,766,000 5,171,689,000 4,613,548,000 4,710,881,000 4,691,929,000 4,670,339,000 3,893,411,000 3,293,143,000 3,179,433,000 2,878,315,000 3,052,200,000 2,904,248,000 2,660,592,000 2,328,176,000 2,313,296,000 2,625,009,000 2,605,662,000 2,558,953,000 2,441,140,000 2,273,872,000 1,913,035,000 1,677,064,000 1,561,746,000 1,622,500,000 1,923,924,000 1,766,180,000 1,545,730,000 1,916,668,000 1,813,748,000 
  total shareholders’ equity attributable to renaissancere10,799,694,000 10,348,503,000 10,574,012,000 11,242,584,000 10,178,895,000 9,792,785,000 9,454,958,000 7,588,617,000 7,402,813,000 5,865,535,000 5,325,274,000 4,881,872,000 5,738,659,000 6,116,960,000 6,624,281,000 6,749,514,000 7,217,606,000 7,078,337,000 7,560,248,000 7,390,821,000 7,347,172,000 5,683,526,000 5,971,367,000 5,951,235,000 5,912,842,000 4,760,593,000 3,735,860,000 3,794,565,000 3,499,902,000                    
  total liabilities, noncontrolling interests and shareholders’ equity54,727,523,000 53,633,383,000 50,707,550,000 52,756,410,000 51,567,589,000 50,944,334,000 49,007,105,000 40,843,076,000 41,399,915,000 38,270,327,000 36,552,878,000 35,935,835,000 35,034,397,000 34,848,079,000 33,959,502,000 33,536,332,000 32,726,755,000 32,236,097,000 30,820,580,000 30,995,840,000 30,479,754,000 27,465,519,000 26,330,094,000 25,644,210,000 26,086,961,000 12,153,913,000 8,356,935,000 8,353,598,000                     
  fixed maturity investments trading, at fair value – amortized cost 23,266,328 at march 31, 2025 23,310,208,000                                               
  short term investments, at fair value – amortized cost 5,054,809 at march 31, 2025 5,054,254,000                                               
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at march 31, 2025 750,000,000                                               
  common shares: 1.00 par value – 48,928,318 shares issued and outstanding at march 31, 2025 48,928,000                                               
  fixed maturity investments trading, at fair value - amortized cost 23,750,540 at december 31, 2024  23,562,514,000                                              
  short term investments, at fair value - amortized cost 4,532,166 at december 31, 2024  4,531,655,000                                              
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at december 31, 2024  750,000,000                                              
  common shares: 1.00 par value – 50,180,987 shares issued and outstanding at december 31, 2024  50,181,000                                              
  fixed maturity investments trading, at fair value – amortized cost 23,927,291 at september 30, 2024   24,287,185,000                                             
  short term investments, at fair value – amortized cost 4,302,346 at september 30, 2024   4,302,991,000                                             
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at september 30, 2024   750,000,000                                             
  common shares: 1.00 par value – 51,940,355 shares issued and outstanding at september 30, 2024   51,940,000                                             
  fixed maturity investments trading, at fair value – amortized cost 22,327,625 at june 30, 2024    22,092,071,000                                            
  short term investments, at fair value – amortized cost 4,361,704 at june 30, 2024    4,361,052,000                                            
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at june 30, 2024    750,000,000                                            
  common shares: 1.00 par value – 52,420,586 shares issued and outstanding at june 30, 2024    52,421,000                                            
  fixed maturity investments trading, at fair value – amortized cost 21,519,144 at march 31, 2024     21,309,460,000                                           
  short term investments, at fair value - amortized cost 4,639,713 at march 31, 2024     4,639,165,000                                           
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at march 31, 2024     750,000,000                                           
  common shares: 1.00 par value – 52,907,663 shares issued and outstanding at march 31, 2024     52,908,000                                           
  fixed maturity investments trading, at fair value - amortized cost 20,872,450 at december 31, 2023      20,877,108,000                                          
  short term investments, at fair value - amortized cost 4,603,340 at december 31, 2023      4,604,079,000                                          
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at december 31, 2023      750,000,000                                          
  common shares: 1.00 par value – 52,693,887 shares issued and outstanding at december 31, 2023      52,694,000                                          
  fixed maturity investments trading, at fair value – amortized cost 16,754,568 at september 30, 2023       16,083,046,000                                         
  short term investments, at fair value - amortized cost 6,521,007 at september 30, 2023       6,519,207,000                                         
  deferred acquisition costs       1,267,088,000 1,300,992,000 1,242,395,000 1,171,738,000               287,291,000 130,108,000 71,162,000 56,656,000 74,489,000 95,614,000 114,836,000 97,710,000 114,038,000 134,319,000 106,310,000 142,171,000 171,931,000 124,282,000 138,922,000 158,600,000 138,802,000 121,589,000 119,932,000 104,986,000 97,756,000 107,718,000 122,214,000 
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at september 30, 2023       750,000,000                                         
  common shares: 1.00 par value – 51,173,930 shares issued and outstanding at september 30, 2023       51,174,000                                         
  fixed maturity investments trading, at fair value – amortized cost 16,398,682 at june 30, 2023        15,888,564,000                                        
  short term investments, at fair value - amortized cost 6,374,957 at june 30, 2023        6,373,969,000                                        
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at june 30, 2023        750,000,000                                        
  common shares: 1.00 par value – 51,182,221 shares issued and outstanding at june 30, 2023        51,182,000                                        
  fixed maturity investments trading, at fair value – amortized cost 15,067,873 at march 31, 2023         14,695,585,000                                       
  short term investments, at fair value - amortized cost 5,177,881 at march 31, 2023         5,177,095,000                                       
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at march 31, 2023         750,000,000                                       
  common shares: 1.00 par value – 43,931,597 shares issued and outstanding at march 31, 2023         43,932,000                                       
  fixed maturity investments trading, at fair value - amortized cost 15,038,551 at december 31, 2022          14,351,402,000                                      
  short term investments, at fair value - amortized cost 4,671,581 at december 31, 2022          4,669,272,000                                      
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at december 31, 2022          750,000,000                                      
  common shares: 1.00 par value – 43,717,836 shares issued and outstanding at december 31, 2022          43,718,000                                      
  fixed maturity investments trading, at fair value – amortized cost 13,555,195 at september 30, 2022           12,671,098,000                                     
  short term investments, at fair value           4,935,960,000 4,429,483,000 4,685,280,000 5,298,385,000 4,667,273,000 4,392,652,000 5,091,143,000 4,993,735,000 5,158,961,000 5,570,804,000 5,263,242,000 4,566,277,000 4,116,156,000 4,579,171,000 1,171,523,000 1,031,143,000 1,172,839,000 1,518,542,000 864,328,000 880,406,000 1,074,469,000 2,136,336,000 1,438,201,000 1,400,884,000 1,565,589,000             
  equity investments trading, at fair value           950,393,000 692,747,000 873,268,000 546,016,000 527,839,000 577,090,000 503,137,000 702,617,000 547,381,000 470,087,000 360,444,000 436,931,000 379,422,000 273,646,000 335,509,000 301,714,000 53,080,000 12,707,000                    
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at september 30, 2022           750,000,000                                     
  common shares: 1.00 par value – 43,701,890 shares issued and outstanding at september 30, 2022           43,702,000                                     
  fixed maturity investments trading, at fair value – amortized cost 13,749,254 at june 30, 2022            13,085,367,000                                    
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at june 30, 2022            750,000,000                                    
  common shares: 1.00 par value – 43,881,035 shares issued and outstanding at june 30, 2022            43,881,000                                    
  fixed maturity investments trading, at fair value – amortized cost 13,540,901 at march 31, 2022             13,029,085,000                                   
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at march 31, 2022             750,000,000                                   
  common shares: 1.00 par value – 44,192,791 shares issued and outstanding at march 31, 2022             44,193,000                                   
  fixed maturity investments trading, at fair value - amortized cost 13,552,579 at december 31, 2021              13,507,131,000                                  
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at december 31, 2021              750,000,000                                  
  common shares: 1.00 par value – 44,444,831 shares issued and outstanding at december 31, 2021              44,445,000                                  
  fixed maturity investments trading, at fair value – amortized cost 13,785,873 at september 30, 2021               13,839,248,000                                 
  preference shares: 1.00 par value – 30,000 shares issued and outstanding at september 30, 2021               750,000,000                                 
  common shares: 1.00 par value – 46,540,248 shares issued and outstanding at september 30, 2021               46,540,000                                 
  accumulated other comprehensive loss               -12,709,000 -14,061,000 -12,382,000 -12,642,000 -2,083,000 -3,066,000 -1,664,000 -1,939,000  -3,869,000                        
  fixed maturity investments trading, at fair value – amortized cost 13,303,855 at june 30, 2021                13,418,389,000                                
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at june 30, 2021                525,000,000                                
  common shares: 1.00 par value – 48,025,898 shares issued and outstanding at june 30, 2021                48,026,000                                
  fixed maturity investments trading, at fair value – amortized cost 13,258,985 at march 31, 2021                 13,309,234,000                               
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at march 31, 2021                 525,000,000                               
  common shares: 1.00 par value – 49,969,717 shares issued and outstanding at march 31, 2021                 49,970,000                               
  fixed maturity investments trading, at fair value - amortized cost 13,155,035 at december 31, 2020                  13,506,503,000                              
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at december 31, 2020                  525,000,000                              
  common shares: 1.00 par value – 50,810,618 shares issued and outstanding at december 31, 2020                  50,811,000                              
  fixed maturity investments trading, at fair value – amortized cost 13,070,757 at september 30, 2020                   13,391,318,000                             
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at september 30, 2020                   525,000,000                             
  common shares: 1.00 par value – 50,810,043 shares issued and outstanding at september 30, 2020                   50,810,000                             
  fixed maturity investments trading, at fair value – amortized cost 12,188,507 at june 30, 2020                    12,495,135,000                            
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at june 30, 2020                    525,000,000                            
  common shares: 1.00 par value – 50,811,098 shares issued and outstanding at june 30, 2020                    50,811,000                            
  fixed maturity investments trading, at fair value – amortized cost 10,941,672 at march 31, 2020                     11,045,801,000                           
  preference shares: 1.00 par value – 11,010,000 shares issued and outstanding at march 31, 2020                     525,000,000                           
  common shares: 1.00 par value – 44,033,618 shares issued and outstanding at march 31, 2020                     44,034,000                           
  fixed maturity investments trading, at fair value - amortized cost 11,067,414 at december 31, 2019                      11,171,655,000                          
  preference shares: 1.00 par value – 16,010,000 shares issued and outstanding at december 31, 2019                      650,000,000                          
  common shares: 1.00 par value – 44,148,116 shares issued and outstanding at december 31, 2019                      44,148,000                          
  fixed maturity investments trading, at fair value – amortized cost 11,214,394 at september 30, 2019                       11,386,228,000                         
  preference shares: 1.00 par value – 16,010,000 shares issued and outstanding at september 30, 2019                       650,000,000                         
  common shares: 1.00 par value – 44,151,949 shares issued and outstanding at september 30, 2019                       44,152,000                         
  fixed maturity investments trading, at fair value – amortized cost 10,324,318 at june 30, 2019                        10,479,666,000                        
  preference shares: 1.00 par value – 16,010,000 shares issued and outstanding at june 30, 2019                        650,000,000                        
  common shares: 1.00 par value – 44,162,192 shares issued and outstanding at june 30, 2019                        44,162,000                        
  fixed maturity investments trading, at fair value                         6,890,592,000 4,750,766,000                      
  fixed maturity investments available for sale, at fair value                         13,985,000 28,069,000          3,475,449,000 3,179,189,000   3,079,855,000 3,101,935,000   3,049,756,000 3,389,065,000 3,117,925,000 3,115,232,000 
  redeemable noncontrolling interest                         1,081,337,000 1,091,166,000                      
  preference shares: 1.00 par value – 16,000,000 shares issued and outstanding at march 31, 2016                         400,000,000                       
  common shares: 1.00 par value – 43,095,065 shares issued and outstanding at march 31, 2016                         43,095,000                       
  preference shares: 1.00 par value – 16,000,000 shares issued and outstanding at september 30, 2014                          400,000,000                      
  common shares: 1.00 par value – 38,887,563 shares issued and outstanding at september 30, 2014                          38,888,000                      
  liabilities of discontinued operations held for sale                           12,539,000 2,246,000                    
  redeemable noncontrolling interest – davincire                           796,743,000                     
  preference shares: 1.00 par value – 22,000,000 shares issued and outstanding at march 31, 2012                           550,000,000                     
  common shares: 1.00 par value – 51,765,197 shares issued and outstanding at march 31, 2012                           51,765,000                     
  noncontrolling interest                           3,892,000                     
  total shareholders’ equity                           3,798,457,000 3,503,062,000 3,791,291,000 3,720,470,000 3,403,602,000 3,121,403,000 3,041,241,000 3,373,433,000 3,385,952,000 3,521,751,000 3,460,038,000 3,303,560,000          
  other secured assets                            14,169,000 27,651,000 27,464,000 76,509,000 76,331,000 107,252,000 107,025,000 107,784,000             
  goodwill and other intangibles                            14,537,000 75,416,000 69,175,000 70,843,000 72,537,000 71,942,000 74,169,000              
  assets of discontinued operations held for sale                            2,481,000                    
  other secured liabilities                            14,000,000 27,500,000 27,500,000 77,420,000 77,420,000 106,420,000 106,420,000 106,420,000             
  redeemable noncontrolling interest - davincire                            536,717,000 658,525,000 746,698,000 700,562,000 650,763,000                
  preference shares                            550,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 650,000,000 500,000,000 500,000,000 500,000,000 500,000,000 500,000,000 500,000,000 500,000,000 500,000,000 500,000,000 
  common shares                            51,742,000 58,320,000 62,390,000 62,345,000 62,324,000 61,401,000 62,862,000 64,927,000 70,852,000 72,266,000 72,289,000          
  noncontrollling interest                            3,160,000                    
  total liabilities, noncontrolling interest and shareholders’ equity                            8,015,100,000                    
  see accompanying notes to the consolidated financial statements                                                
  ceded reinsurance balances                             121,836,000 207,257,000 250,225,000 149,309,000 155,487,000 206,888,000 122,631,000 194,357,000 241,488,000 116,020,000 232,439,000 241,315,000 62,856,000 97,066,000 95,786,000 90,965,000 95,798,000 88,326,000 78,928,000 
  losses recoverable                             156,820,000 253,312,000 266,993,000 201,215,000 300,076,000 191,789,000 151,555,000 220,037,000 236,990,000 248,599,000 394,335,000 464,556,000 625,697,000 543,460,000 230,810,000 258,220,000 161,050,000 90,055,000 131,955,000 
  liabilities, redeemable noncontrolling interest and shareholders’ equity                                                
  reserve for unearned premiums                             614,490,000 805,199,000 1,069,082,000 716,613,000 757,624,000 993,959,000 673,991,000 880,714,000 1,145,739,000 768,882,000 900,133,000 1,113,391,000 853,629,000 706,303,000 763,247,000 709,289,000 582,470,000 696,608,000 768,352,000 
  total liabilities, redeemable noncontrolling interest and shareholders’ equity                             7,935,672,000 8,544,699,000 8,805,437,000 8,059,909,000                
  liabilities, minority interest and shareholders’ equity                                                
  minority interest - davincire                                 699,534,000 794,499,000 758,851,000         349,207,000    
  total liabilities, minority interest and shareholders’ equity                                 8,589,239,000 8,550,276,000 8,169,942,000 8,761,338,000 8,558,363,000 7,787,116,000          
  short term investments, at cost                                    2,418,958,000 2,268,172,000 2,183,564,000 1,841,330,000 1,911,693,000 1,621,623,000 1,133,542,000 687,356,000 752,582,000 697,380,000   
  subordinated obligation to capital trust                                       103,093,000 103,093,000 103,093,000 103,093,000 103,093,000 103,093,000  103,093,000 103,093,000 
  minority interest – davincire                                    761,815,000 714,186,000 679,568,000 612,431,000 555,433,000 531,929,000 299,780,000    398,214,000  
  liabilities, minority interest and shareholders’ equity liabilities                                                
  liabilities, minority interest and shareholders' equity                                                
  shareholders' equity                                                
  common shares and additional paid-in capital                                       358,700,000 356,462,000 352,055,000 339,811,000 337,675,000 333,796,000 324,028,000 308,852,000 308,379,000 
  total shareholders' equity                                       2,797,207,000 2,538,519,000 2,415,889,000 2,490,693,000 2,822,960,000 2,637,654,000 2,457,115,000 2,800,688,000 2,740,733,000 
  total liabilities, minority interest, and shareholders' equity                                       7,539,557,000 7,738,629,000 7,158,262,000 6,791,604,000 6,330,215,000 6,065,279,000 5,819,013,000 5,793,048,000 5,550,406,000 
  total managed investment portfolio                                          4,993,285,000 4,744,270,000 4,602,844,000 4,676,906,000   
  equity investment in reinsurance company, at fair value                                          142,788,000 153,508,000 142,862,000    
  net payable on investments purchased                                          139,573,000    166,772,000  
  minority interest — davincire                                           381,474,000    388,274,000 
  equity investments in reinsurance company, at fair value                                             139,712,000 147,962,000 156,638,000 
  subordinated obligation to affiliated capital trust                                             103,093,000   
  minority interest — davincire holdings                                             310,874,000   
  short term investments                                              1,009,011,000 722,158,000 
  other investments                                              503,884,000 448,227,000 
  total managed investment portfolio and cash                                              4,704,950,000 4,376,765,000 
  total investments and cash                                              5,030,964,000 4,726,935,000 

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