AXIS CAPITAL HOLDINGS LTDAXS

Market cap
$6.6B
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
Net income85746547727811642513-36943323-120619223376
Net investment (gains) losses---------14491129134-457-75
Net realized and unrealized gains on other investments-3188129582039734560161805620
Amortization of fixed maturities-6193135140-114-97-66-43-25-18-33-36-2620
Interest in income of equity method investments---------010-43224
Amortization of value of business acquired-------501722754--
Other amortization and depreciation1417142325262581107566676876
Share-Based Payment Arrangement, Noncash Expense3739685763435213343229384854
Accrued interest receivable72-1-0-14-9143-2-13-13012
Reinsurance recoverable on unpaid losses and loss expenses153193936616215177131767412724527826494
Reinsurance recoverable on paid losses and loss expenses-----------207-10261
Deferred acquisition costs5748-1867115-333598-74-613411-21
Prepaid reinsurance premiums-801777152547159562138994186176366
Reserve for losses and loss expenses-----151541,0054434671,1787375441,273
Unearned premiums12412102295830199-5730-863410287389
Insurance and reinsurance balances, net-5929-32501037521082-20951-73-350-83-14
Other items-8178-851-81-161465-269497-1564646
Net cash provided by operating activities1,1881,190----407259111993441,1156921,256
Fixed maturities, available for sale12,42915,47213,51312,23012,04711,0129,1778,7158,4649,99410,49412,1347,4766,349
Fixed maturities, held to maturity-----------19725637
Equity securities------------9490
Mortgage loans-----2061483110619419914611725
Other investments65220110167768419015318021816726414891
Short-term investments5798413841986698019142306179365159177247
Equity method investments------1081-----22
Short-term investments5798413841986698019142306179365159177247
Fixed maturities, available for sale10,62313,75411,14410,26110,7999,4327,9057,0057,5878,0199,7849,2036,1104,849
Equity securities------------13956
Other investments180715493214252216261361249167325157158
Short-term investments4237103551985261255449179266172178117227
Proceeds from redemption of fixed maturities, available for sale1,2361,4221,4571,4081,0861,4081,4932,0101,2411,2831,5261,8171,019934
Proceeds from redemption of fixed maturities, held to maturity-----------156450
Proceeds from redemption of short-term investments-15170628024371194619701112077
Proceeds from the repayment of mortgage loans------------8436
Purchase of other assets---24213427432563453937-
Proceeds from the (purchase) sale of other assets, net-------------31
Net cash used in investing activities-688-833-862----144178639-774490-1,114-656-856
Loan advances made-------------350
Net cash used in investing activities-688-833-862----144178639-774490-1,114-656-856
Redemption of senior notes----500--67-250500---
Repurchase of common shares - open market71066318472543332510261----35-
Repurchase of preferred shares--404100--52351--225---
Taxes paid on withholding shares--------101010101424
Repurchase of common shares - open market71066318472543332510261----35-
Dividends paid - common shares108206120118118119132135134137142146149154
Taxes paid on withholding shares--------101010101424
Dividends paid - preferred shares3737383940404053434332303030
Dividends paid - common shares108206120118118119132135134137142146149154
Federal Home Loan Bank advances, net------------795
Dividends paid - preferred shares3737383940404053434332303030
Net cash used in financing activities-352-302-482----202-546-186278-909-186-150-202
Federal Home Loan Bank advances, net------------795
Net cash used in financing activities-352-302-482----202-546-186278-909-186-150-202
Effect of exchange rate changes on foreign currency cash, cash equivalents and restricted cash--------3442-0-3012
Increase (decrease) in cash, cash equivalents and restricted cash--------466-254-73-186-143209
Income taxes paid3824112281312-164044533-
Income taxes paid-------------77
Interest paid--------656054596064