RLI Corp.

NYSE:RLI

166.61 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 304.611583.411279.354157.091191.64264.179105.028114.92137.544135.445126.255103.346130.591127.43293.84578.676175.867134.639107.13473.03671.29135.85231.04728.69331.528.230.225.77.9-514.113.112.611.68.2
Afschrijvingen & Amortisatie 8.5457.9817.3947.4328.1647.0426.9446.435.4064.5573.7653.1453.1773.0373.2843.5963.5673.5033.2283.0333.2343.5463.2773.0922.72.12.32.53.53.23.132.92.62.4
Uitgestelde Inkomstenbelasting 7.71-49.63918.9278.57613.232-14.79-32.7613.70114.1035.29112.03118.3179.61416.31611.493-3.6363.058-7.688-3.739-5.189-0.773-5.6183.0431.852-2.1-0.583-0.3473.506-0.907000000
Aandelen Gebaseerde Vergoedingen 0965.465.54.84.14.143.93.600000000000000000000000
Verandering in Werkkapitaal 218.074206.493231.629145.244141.908125.328123.5866.86742.6836.665.866-67.20412.93-16.264-8.64719.553-0.99864.719148.424106.687129.7589.41493.2279.856-0.7417.9761.877-1.95924.20586.9113.82.9-112519.1
Vorderingen 0-22.2227.349-14.259-7.793-18.225-7.96417.27510.911-2.064-13.154-14.85914.303-23.438.18813.788155.41283.82917.9823.815-35.811-20.482-13.301-30.052-6.1-105.930.6-14.7-0.6-6.46.5-10.217.6-0.4
Voorraden 0000097.464-68.224-147.414-155.872-165.34-147.063-728.33-866.6670-12.92545.0411,766.6661,914.1122,003.5841,732.1111.571,346.32569.43-1,123.016-998.44691.981640.477585.641623.905000000
Crediteuren 018.2490.58616.5743.10.9673.696-19.628-0.457-9.3213.375-15.85227.0108.941-6.409-170.977-18.43669.695115.84319.25826.59476.6736.8885.77.80.7-18.82544.367.1-0.5-0.44.99.4
Overig Werkkapitaal 218.074210.466223.694142.929146.60145.122196.072216.634188.101183.385162.708691.837838.2847.166-12.851-32.867-1,752.099-1,914.786-1,942.837-1,745.082144.733-1,263.023-39.5751,156.036998.106-71.805-645.2-599.4-61043.253.1-3.1-0.42.510.1
Overige Niet-Contante Posten -74.683-506.59814.14110.4625.3416.17116.36817.69915.00610.81813.117.732-21.285-7.04320.08121.251-25.5057.647-57.0211.395-12.48338.777-52.729.62527.001-24.1150.99220.199-9.899-57.8-58.52418.86.2-6.9
Kasstroom uit Operationele Activiteiten 464.257250.448384.905263.259276.917217.102197.525174.463152.586123.085134.96636.24117.991100.235127.759161.334127.023171.775198.027188.962191.019161.97177.87453.11858.36123.57835.02248.94724.29927.372.54323.345.422.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5.913-5.889-8.31-5.768-6.955-6.087-9.238-16.155-10.035-7.121-25.407-18.521-3.958-2.297-11.565-6.002-4.456-3.234-10.538-4.051-4.403-3.397-8.403-2.642-5.71-2.529-2.745-3.409-2.187-3.6-2.4-2.6-4.2-6.8-0.9
Netto Overnames 14.284682.847-8.978-4.53300.1670.408-0.855.789-5.3019.368-15.5-120.7670001.42904.78700.3110.533000.2760000000000
Aankoop van Beleggingen -816.416-2,134.595-874.532-596.225-617.662-843.166-456.411-593.402-705.327-488.298-576.909-698.743-747.459-961.599-978.143-658.031-101.332-381.689-168.019-421.056-540.29-409.572-204.656-139.612-10-62.28-79.837-73.063-100.343-23.8-156.6-67.6-40.9-56-58.3
Verkoop/verval van Beleggingen 620.4681,509.186620.817447.062460.113730.237400.95562.819653.407528.749490.616781.603959.8251,056.502882.873593.66818.926231.38525.363246.6254.5162.813137.74395.33278.17849.08666.67931.11777.992-95.144.5272615.652.7
Overige Investeringsactiviteiten -24.226-2.67-3.823-8.523-20.249-15.36-16.921-6.034-4.431-5.2580.43.5130010.7360.89178.71590.213-4.51.298205.9711.50.4951.183-135.3330.6460.1950.7950.52696.10-0.10.90.5-6.8
Kasstroom uit Investeringsactiviteiten -211.80348.879-274.826-167.987-184.753-134.209-81.212-53.622-60.59722.771-101.93252.35287.64192.606-96.099-69.474-6.718-63.325-152.907-177.189-283.911-248.123-74.821-45.739-72.589-15.077-15.708-44.559-24.013-26.4-114.5-43.3-18.2-46.7-13.3
Financieringsactiviteiten:
Schuldaflossingen -100050000000050.0670000-27.97527.975-15.541-31.298-0.72291.667-22.883-1.5240.36635.18914.74424.9-2.8-3.5-0.746-2.42.4-2.72.1
Uitgifte van Gewone Aandelen 1.245-0.4651.83809.496.0763.5028.8350000005.22202.9523.2541.4371.05910.756115.6854.6780.0370.3020.0620.22.2080.0342.542000
Terugkoop van Gewone Aandelen 98.7550-51.838000000000-6.624-23.858-19.251-47.904-133.268-81.0690-0.01-0.0220-0.123-2.086-18.198-15.57-39.7-3.041000000-2.7
Uitgekeerde Dividenden -140.093-364.848-135.33-87.906-85.591-83.1-113.813-122.488-119.577-159.857-93.137-133.037-130.855-176.802-22.879-20.76-20.006-18.024-15.259-12.1-9.509-6.65-6.084-5.696-5.566-5.22-4.704-4.261-3.85-3.4-3.2-2.9-2.6-2.4-2.2
Overige Financieringsactiviteiten 1.245-0.4651.83809.496.0763.5028.8358.0495.1525.1917.57513.0317.8195.2484.7794.9942.930000002.501-2.5170.0040-0.034-0.10.10.1000
Kasstroom uit Financieringsactiviteiten -238.848-365.313-83.492-79.258-76.101-77.024-110.311-113.653-111.528-154.705-37.879-125.462-124.448-192.841-36.882-91.86-120.305-108.45-45.12-11.77392.89286.152-3.053-7.37914.228-8.501-19.314-7.895-7.267-1.646.9-3.2-0.2-5.1-2.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000-205.6320-31.66000000000000-4.388-0.008-0.9420.3-5.11.3-9.5
Netto Kasstroomverandering 13.606-65.98626.58716.01416.0635.8696.0027.188-19.539-8.849-4.845-36.87-124.4480-36.882000000000000-7.895-6.989-1.646.9-3.2-0.2-5.1-2.8
Kaspositie aan het Einde van de Periode 36.42422.81888.80462.21746.20330.1424.27118.26911.08130.6239.46944.31481.1840-36.882000000000000-4.3881.1977.651.34.82.84.40