ProAssurance Corporation

NYSE:PRA

13.23 (USD) • At close September 18, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst -38.604-0.402144.124-175.7271.00447.057107.264151.081116.197196.565297.523275.47287.096231.598222.026177.725168.186126.98480.02672.81138.70312.20712.4524.346.748.537.531.129.724.826.922.917.5
Afschrijvingen & Amortisatie 26.01538.06337.24721.37518.66521.25528.79632.78936.450.32345.96737.57335.68926.67119.65516.57116.08718.82824.00127.02623.51215.0443.2436.3326.43.218.40.22333.11
Uitgestelde Inkomstenbelasting -1.768-6.6211.319-21.148-28.643-11.8241.6938.534-15.9946.79524.65937.744-1.051-4.426.614-0.2333.8241.3870.7071.1070.0930.0871.720.8542.37.7-0.7-1.7-3.7-2.5-4.3-5.1-1.1
Aandelen Gebaseerde Vergoedingen 5.2474.8294.393.843.5275.32110.61512.4559.16610.0569.2428.6397.1196.1386.217.7638.3264.669000000000000000
Verandering in Werkkapitaal -81.941-124.49912.90260.928178.86954.36730.393-3.969-64.42-131.602-210.401-240.409-164.971-93.507-181.057-87.6064.146134.837223.769287.319447.508246.83173.95616.81-22.2-107.1116.9133.477.231.234.200.2
Vorderingen 10.525-4.99971.20542.98511.926-23.381-14.605-26.768-28.64515.24112.12175.0220.738.216-11.04212.55637.334-33.087.48135.813-10.7-113.6734.70623.1235.8-7-107.6-22.2-21.3-16.8-12.900.4
Voorraden 00000002,723.8422,310.2712,443.712,167.8642,083.6012,518.24100038.709149.438221.979270.7452,446.2472,106.7461,777.1260000000000
Crediteuren 0000000-0.11312.663-26.377-13.269-36.583-29.642000-33.188114.047216.288251.506240.161262.75834.724-14.275-15.9-11.6116.967.942.231.230.300
Overig Werkkapitaal -92.466-119.5-58.30317.943166.94377.74844.998-2,700.93-2,358.709-2,564.176-2,377.117-2,362.449-2,654.3-101.723-170.015-100.162-38.709-95.568-221.979-270.745-2,228.2-2,009-1,742.67.962-12.1-88.5107.687.756.316.816.80-0.2
Overige Niet-Contante Posten 41.16658.789-126.012203.075-25.25661.089-29.765-31.7730.611-36.135-128.388-27.767-4.518-27.309-18.03950.55543.537-103.875-4.001-14.722-227.015-97.208-30.108-11.96113.2118.7-128.9-88.2-58-18.5-24.229.221.5
Kasstroom uit Operationele Activiteiten -49.885-29.84173.9792.343148.166177.265148.996169.12111.9696.00238.60291.25159.364139.19175.409164.775244.106182.83323.59373.541282.801176.96161.26136.33546.47143.274.847.23835.650.139.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4.79-4.353-3.84-7.478-9.586-9.636-13.469-10.922-9.5245.428-5.8470000000000000000-7.3-4.200-0.2-0.4
Netto Overnames 22.03548.61978.3185.68173.867-78.141-42.69-51.909-73.921-17.203-52.669-73.8050-251.334-127.051-25.752-15.8060000000000000000
Aankoop van Beleggingen -503.265-681.253-1,512.126-964.209-769.83-1,054.552-874.69-1,090.774-885.551-793.041-641.464-776.73-933.647-869.736-964.336-953.009-1,431.943-2,410.757-955.547-1,202.052-1,154.702-1,040.701-677.699-145.574-193.8-390.9-227.5-195.5-202.3-114.7-135.2-122.3-270
Verkoop/verval van Beleggingen 587.727577.6491,352.13839.465597.5891,274.1811,107.965852.9271,171.271998.186920.8181,035.488893.81,036.9111,113.802908.7691,286.9042,327.342642.245781.641,297.876920.876706.505154.763179.4325.7184.4135.216184102.893.9178.1
Overige Investeringsactiviteiten 39.432-2.65995.20338.05858.48283.04547.55121.73925.51273.61-294.488-158.11-9.76461.812-1.572-21.581-5.61-106.23-0.124-10.032-522.831-2.785-127.725-46.8266.3-0.2-0.22.6-2.5-1.71.2-21.731.2
Kasstroom uit Investeringsactiviteiten 141.139-61.997-85.526-8.48450.522214.897224.667-278.939227.787266.98-67.80326.843-49.611-22.34720.843-91.573-166.455-189.645-313.426-430.444-379.657-122.61-98.919-37.637-8.1-65.4-43.3-65-48-32.4-31.2-50.3-61.1
Financieringsactiviteiten:
Schuldaflossingen -2500-36.113-1.502-1.447-124.396-77-100-1000-127.183-57.66-0.325-0.303-70-15.464000-72.5-10-27.50000000000
Uitgifte van Gewone Aandelen 0010.3762.345000000250000000000046.499000000000031.9
Terugkoop van Gewone Aandelen -50.488-3.252-10.376-2.345-5.024-1.0050-2.106-172.772-222.36-29.0890-20.569-106.346-52.045-105.927-54.20100000-1.337-9.557-27.9-8.7-1.600-2.5-4.100
Uitgekeerde Dividenden -5.379-10.768-10.758-38.664-93.204-316.476-315.228-118.812-217.626-71.252-46.375-200.118-7.617000000000000-0.1-0.1000000
Overige Financieringsactiviteiten 0.552-7.785-13.753-3.28-9.139-5.31435.713106.98494.711-1.713-7.32127.836-1.6930.014-0.0245.911.9581.4553.64444.94273.182-0.707111.1080-0.10000000.2-12.2
Kasstroom uit Financieringsactiviteiten -55.315-21.805-60.624-43.446-103.79-446.186-356.515-13.934-295.687-295.32540.033-129.942-30.204-106.635-59.069-100.017-67.7071.4553.64444.9420.68235.79282.271-9.557-28-8.8-1.700-2.5-4.10.219.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -24.33000000000000000000000000.100.100-5.6-4.4022
Netto Kasstroomverandering 35.939-113.643-72.1840.41394.898-54.02417.148-123.75344.0667.65710.832-11.84979.54910.20937.183-26.8159.944-5.3613.808-11.961-96.17490.14344.613-10.85910.4-3.2-1.79.8-0.8-2.5-4.1019.7
Kaspositie aan het Einde van de Periode 65.89829.959143.602215.782175.36980.471134.495117.347241.1197.04129.383118.551130.450.85140.6423.45939.0929.14634.50630.08447.132143.30653.1638.5519.4912.3144.2-0.5-2.41.623.6