Reinsurance Group Of America (RZB) Net Cash Flow (2016 - 2025)
Historic Net Cash Flow for Reinsurance Group Of America (RZB) over the last 17 years, with Q3 2025 value amounting to -$2.7 billion.
- Reinsurance Group Of America's Net Cash Flow fell 6733.94% to -$2.7 billion in Q3 2025 from the same period last year, while for Sep 2025 it was $8.5 billion, marking a year-over-year increase of 21288.4%. This contributed to the annual value of $486.0 million for FY2024, which is 76785.71% up from last year.
- Reinsurance Group Of America's Net Cash Flow amounted to -$2.7 billion in Q3 2025, which was down 6733.94% from -$1.5 billion recorded in Q2 2025.
- Reinsurance Group Of America's Net Cash Flow's 5-year high stood at $13.8 billion during Q4 2024, with a 5-year trough of -$8.5 billion in Q1 2024.
- In the last 5 years, Reinsurance Group Of America's Net Cash Flow had a median value of -$643.0 million in 2022 and averaged -$265.4 million.
- Its Net Cash Flow has fluctuated over the past 5 years, first skyrocketed by 202564.1% in 2022, then tumbled by 41607.14% in 2023.
- Quarter analysis of 5 years shows Reinsurance Group Of America's Net Cash Flow stood at -$78.0 million in 2021, then surged by 2025.64% to $1.5 billion in 2022, then skyrocketed by 281.96% to $5.7 billion in 2023, then soared by 140.11% to $13.8 billion in 2024, then tumbled by 119.86% to -$2.7 billion in 2025.
- Its Net Cash Flow stands at -$2.7 billion for Q3 2025, versus -$1.5 billion for Q2 2025 and -$1.1 billion for Q1 2025.