Enstar Group LTDESGR

Market cap
$4.9B
P/E ratio
4.4x
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
Short-term Investments----2231801145156142
Fixed maturities----4,3885,6967,2496,3464,5953,7562,3701,949
Debt Securities, Trading-281131874,6115,8768,698-----
Short-term Investments---------343862
Fixed maturities---------5,6525,2235,261
Short-term and fixed maturity investments, available for sale---------5,6865,2615,323
Funds held - directly managed, at fair value----9951,1801,1981,1881,0753,0072,040-
Funds held-----------5,251
Equity Securities, FV-NI, Current------3677308471,9951,250701
Other investments, at fair value (includes consolidated variable interest entity: 2023 — $59; 2022 — $3 )----------3,2963,853
Equity method investments------205326832493397334
Total investments3,3535,5206,0047,4546,0437,23211,24213,20815,25717,27614,62817,413
Cash and Cash Equivalents, at Carrying Value6556449638229559556027039011,646822564
Restricted cash and cash equivalents300398535511364258381353472446508266
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Cost----------856740
Interest Receivable-----------71
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Fair Value----------275217
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Cost----------856740
Insurance Recoverables-------449250213177172
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Fair Value----------275217
Funds held by reinsured companies (Note 6)365238135109821753214096362,3003,582-
Insurance Recoverables-------449250213177172
Net deferred charge assets (Note 10)---------371658731
Other assets154121557842831644745926620648739
TOTAL ASSETS5,8828,6209,93711,83212,86613,60616,55619,36321,64724,42922,15420,913
Losses and loss adjustment expenses (Note 11)----------11,72111,196
Liability For Claims And Claims Adjustment Expense, Fair Value----------1,2861,163
Future policyholder benefits (Note 12) (1)---------1,5021,184-
Defendant asbestos and environmental liabilities (Note 13)-------848706638607567
Reinsurance Payable143---39423738837349425410043
Long-Term Debt1074523206006746478621,1911,3731,6911,8291,831
Other Liabilities997051359705972566464943581462465
TOTAL LIABILITIES4,1076,5427,0398,8949,6009,98112,18414,06814,59417,92417,18915,265
REDEEMABLE NONCONTROLLING INTERESTS (Note 19)-101375418455480459439365179168-
Ordinary shares--16---------
Treasury shares, at cost (Series C Preferred Shares 2023 and 2022: 388,571)--------422---
Joint Share Ownership Plan (voting ordinary shares, held in trust 2023 and 2022: 565,630)--------1111
Additional paid-in capital----1,3801,3951,8051,8371,836922766579
Accumulated other comprehensive loss2414-13-35-241010781-16-575-336
Retained earnings9731,1811,3951,5781,8482,1331,9772,8884,6475,0854,4065,190
Total Enstar Shareholders’ Equity1,7751,9782,5232,5212,8113,1463,9144,8566,6886,3264,7975,648
Noncontrolling interests (Note 19)22122221849912141423096113
TOTAL SHAREHOLDERS’ EQUITY1,7751,9782,5232,5212,8113,1463,9144,8566,6886,3264,7975,648
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND SHAREHOLDERS’ EQUITY5,8828,6209,93711,83212,86613,60616,55619,36321,64724,42922,15420,913