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Consolidated Statements Of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2017
Jun. 30, 2016
Cash flows provided by operating activities    
Net income $ 346,624 $ 350,737
Adjustments to reconcile net income to net cash provided by operating activities    
Amortization, accretion and depreciation 11,499 11,036
Equity in undistributed losses (earnings) of other ventures 20,304 (2,308)
Net realized and unrealized gains on investments (101,486) (131,425)
Net unrealized (gains) losses included in net investment income (12,491) 20,360
Change in:    
Premiums receivable (546,510) (554,658)
Prepaid reinsurance premiums (264,062) (302,421)
Reinsurance recoverable (91,022) (87,480)
Deferred acquisition costs (94,781) (131,772)
Reserve for claims and claim expenses 141,512 77,198
Unearned premiums 615,633 629,004
Reinsurance balances payable 378,511 229,725
Other (62,708) 17,245
Net cash provided by operating activities 341,023 125,241
Cash flows provided by investing activities    
Proceeds from sales and maturities of fixed maturity investments trading 5,163,972 4,780,406
Purchases of fixed maturity investments trading (5,451,362) (4,984,820)
Proceeds from sales and maturities of fixed maturity investments available for sale 0 5,216
Net sales of equity investments trading 46,305 181,634
Net sales of short term investments 276,075 245,899
Net sales (purchases) of other investments 2,551 (52,778)
Net cash provided by investing activities 37,541 175,557
Cash flows used in financing activities    
Dividends paid – RenaissanceRe common shares (25,877) (26,198)
Dividends paid – preference shares (11,191) (11,191)
RenaissanceRe common share repurchases (145,940) (265,003)
Issuance of debt, net of expenses 295,866 0
Repayment of debt (250,000) 0
Net third party redeemable noncontrolling interest share transactions (33,655) (43,909)
Taxes paid on withholding shares (11,251) (8,069)
Net cash used in financing activities (182,048) (354,370)
Effect of exchange rate changes on foreign currency cash 5,477 2,208
Net increase (decrease) in cash and cash equivalents 201,993 (51,364)
Cash and cash equivalents, beginning of period 421,157 506,885
Cash and cash equivalents, end of period $ 623,150 $ 455,521