AXIS CAPITAL HOLDINGS LTDAXS

Market cap
$7.8B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Debt Securities, Available-for-Sale, Excluding Accrued Interest------------11,32712,23512,153
Debt Securities, Held-to-Maturity, Excluding Accrued Interest, after Allowance for Credit Loss------------698686443
Equity Securities, FV-NI, Current--------382474518656485589579
Mortgage Loans on Real Estate, Commercial and Consumer, Net-----206350325299433593594627610506
Alternative Investment--------788771829948997949930
Equity method investments------116109108118114146148175207
Other Short-Term Investments17315010946108341278414438162317017224
Total investments11,52412,46713,54713,78013,77013,37513,46014,78413,15614,30214,25915,13414,35315,26115,042
Cash and cash equivalents9309827609239229881,0399491,2331,2419038457519532,143
Restricted cash and cash equivalents1161019165288187202415597335600473423431920
Interest Receivable------------94106114
Premiums Receivable, Net1,3441,4141,4751,6891,8091,9682,3143,0123,0073,0712,7382,6232,7333,0683,000
Reinsurance Recoverable for Unpaid Claims and Claims Adjustments--------3,5023,8784,4975,0185,8316,3236,841
Reinsurance recoverable on paid losses and loss expenses--------280328434642540576546
Deferred acquisition costs359408389456467472439474567492431466474451525
Prepaid reinsurance premiums2212393163303513965568091,0141,1021,1941,3771,5501,9161,937
Receivable for investments sold-31102614123336251694
Goodwill-------10210210210110110110166
Intangible assets-------258242231220209198187176
Operating lease right-of-use assets---------1111241039210893
Loan advances made-------------305248
Other assets175225215273251313295318285288306310438456696
Total assets16,44617,80618,85219,63519,95619,98220,81424,76024,13325,60425,87827,36927,59630,25132,520
Reserve for losses and loss expenses7,0328,4259,0599,5829,5979,6469,69812,99812,28112,75213,92714,65315,16916,43417,219
Unearned premiums2,3342,4542,4552,6842,7352,7612,9693,6413,6363,6263,6864,0914,3614,7485,212
Reinsurance Payable1652072712342493564938991,3391,3491,0921,3251,5231,7931,714
Debt-------1,3771,3421,8081,3101,3111,3121,3141,315
Federal Home Loan Bank advances------------818666
Payable for investments purchased20152652218896310111233105322026270
Operating Lease, Liability---------116140120103123107
Other liabilities275129229249315350325404393376323428387464528
Total liabilities10,82112,36213,07313,76714,07614,11514,54119,41919,10220,06020,58221,95822,95624,98726,431
Preferred shares500500----------550550550
Common Stock, Value, Issued222222222222222
Additional paid-in capital2,0602,1052,1792,2402,2852,2412,3002,2992,3092,3172,3302,3462,3662,3832,394
Accumulated other comprehensive income (loss)177128363118-46-188-12292-17717241457-760-366-268
Retained earnings4,2684,1554,4985,0635,7166,1946,5285,9805,9136,0575,7646,2056,2476,4417,342
Treasury shares, at cost (2024: 93,596; 2023: 91,294)------3,5623,8073,7913,7793,7653,7493,7653,7473,931
Total shareholders’ equity5,6255,4445,7805,8685,8805,8676,2725,3415,0305,5445,2965,4114,6405,2636,089
Total liabilities and shareholders’ equity16,44617,80618,85219,63519,95619,98220,81424,76024,13325,60425,87827,36927,59630,25132,520