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Asset logo for symbol BNRE
Brookfield Reinsurance Ltd.
BNRE57
$50.20arrow_drop_down0.41%-$0.21
Asset logo for symbol BNRE
BNRE57

$50.20

arrow_drop_down0.41%

Income Statement (BNRE)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
EBIT$284.01M-$140.83M-$59.60M$55.00M$55.13M
EBITDA$341.00M-$105.00M-$36.99M$66.00M$66.00M
gross Profit$2.91B$2.57B$2.39B$1.56B$1.56B
NET Income$264.00M$335.00M$455.00M$76.00M$76.00M
total Revenue$2.90B$2.57B$2.39B$1.56B$1.56B

Balance Sheet (BNRE)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
cash Equivalents-----
net Debt-$6.46B$3.61B$2.11B-$541.00M-$541.00M
stockholders Equity$8.16B$6.31B$5.97B$6.79B$6.79B
total Assets$119.69B$59.59B$57.55B$51.17B$51.17B
total Debt$7.86B$6.44B$6.40B$2.90B$2.90B
total Liabilities$110.68B$53.13B$51.43B$2.90B$2.90B

Cash Flow (BNRE)

itemJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
financing Cash Flow$1.33B$334.49M$382.65M$580.00M$580.00M
free Cash Flow$1.19B$215.03M$444.49M$191.01M$191.01M
investing Cash Flow----$216.00M-$1.48B
operating Cash Flow$1.21B$230.96M$583.22M$192.00M$192.00M

Brookfield Reinsurance Ltd. (BNRE) Financials

Brookfield Reinsurance Ltd. (BNRE) is a leading provider of reinsurance solutions, offering a wide range of products and services to clients around the world. The company's income statement reflects its financial performance over a given period of time. It shows the revenue generated from its operations, as well as the expenses incurred to generate that revenue. The net income from stockholders represents the company's profit after deducting all expenses and taxes. EBIT, or earnings before interest and taxes, is a measure of profitability that shows how much operating profit a company generates before accounting for interest and taxes. EBITDA, or earnings before interest, taxes, depreciation, and amortization, is a similar measure that adds back non-cash expenses like depreciation and amortization to EBIT.
Gross profit is another important financial metric that reflects the revenue earned by a company after deducting the cost of goods sold. It represents the amount of money a company has left over to cover its operating expenses. Total revenue is the sum of all the income generated by a company from its core operations. It includes both the revenue generated from the sale of goods or services and any other sources of income, such as investments. The balance sheet is a snapshot of a company's financial position at a specific point in time. It shows the company's assets, liabilities, and stockholders' equity. Cash equivalents refer to highly liquid investments that can be easily converted into cash. They are typically included as part of a company's balance sheet under the assets category. Net debt is a measure of a company's overall debt position, calculated by subtracting its cash and cash equivalents from its total debt. Stockholders' equity represents the residual claim on the company's assets after deducting its liabilities. It is an important measure of a company's financial health and solvency. Total assets represent the value of a company's resources that can generate future economic benefits. It includes both tangible assets, such as property, plant, and equipment, as well as intangible assets, such as patents and trademarks. Total debt is the sum of all the obligations a company has to pay back, including both short-term and long-term debt. Total liabilities represent all the financial obligations a company has, including both its short-term and long-term debts, as well as any other liabilities, such as accounts payable and accrued expenses.
Cash flow is a crucial measure of a company's financial performance, showing how much cash is generated or used by its operations, investments, and financing activities. Financing cash flow represents the cash inflows and outflows resulting from the company's financing activities, such as issuing or repurchasing its own stock or taking on or repaying debt. Free cash flow is a measure of a company's ability to generate cash after accounting for all its operating and capital expenditures. It shows how much cash the company has available to distribute to its stockholders or reinvest in its business. Investing cash flow represents the cash inflows and outflows resulting from the company's investment activities, such as buying or selling property, plant, and equipment or acquiring or selling other businesses. Operating cash flow reflects the cash generated or used by a company's core operations. It is a key measure of a company's ability to generate cash from its day-to-day business activities.
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