av/hannover-rueck--big.svg

COM:HANNOVER-RE

Hannover Re

  • Stock

EUR

Last Close

247.10

25/11 09:23

Market Cap

28.87B

Beta: -

Volume Today

9.06K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.07B
-
1.21B
14.05%
1.23B
0.96%
1.04B
14.83%
1.15B
9.66%
1.37B
19.89%
918.78M
33.10%
1.30B
41.52%
1.54B
18.65%
1.82B
18.28%
depreciation and amortization
58.38M
-
64.49M
10.46%
105.36M
63.36%
113.57M
7.79%
95.06M
16.29%
110.43M
16.17%
165.10M
49.50%
150.66M
8.74%
-83.89M
155.68%
135.40M
261.40%
deferred income tax
stock based compensation
change in working capital
875.82M
-
1.87B
113.14%
1.17B
37.31%
893.83M
23.62%
1.14B
27.19%
1.41B
24.04%
2.43B
72.61%
3.86B
58.69%
3.93B
1.79%
5.47B
39.21%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-68.42M
-
-41.04M
40.01%
-170.68M
315.85%
-358.12M
109.82%
-152.88M
57.31%
-384.72M
151.65%
-286.94M
25.42%
-372.95M
29.98%
-226.24M
39.34%
-1.65B
628.49%
net cash provided by operating activities
1.93B
-
3.10B
60.80%
2.33B
24.92%
1.69B
27.34%
2.22B
31.33%
2.51B
12.79%
3.23B
28.77%
4.94B
52.91%
5.16B
4.53%
5.79B
12.03%
investments in property plant and equipment
198.79M
-
-148.59M
174.75%
183.80M
223.70%
-265.07M
244.22%
-84.57M
68.10%
102.89M
221.67%
-369.33M
458.94%
-344.12M
6.83%
acquisitions net
-20.72M
-
31.27M
250.92%
-35.15M
212.40%
-115.04M
227.29%
-19.60M
82.96%
3.57M
118.23%
-73.68M
2,161.53%
137.44M
286.54%
-6.82M
104.96%
purchases of investments
-13.49B
-
-13.77B
2.04%
-13.81B
0.34%
-12.02B
13.00%
-23.48B
95.35%
-22.93B
2.35%
-18.86B
17.75%
-25.43B
34.84%
-25.07B
1.41%
-32.32B
28.93%
sales maturities of investments
12.16B
-
11.87B
2.38%
11.98B
0.96%
11.47B
4.28%
21.54B
87.81%
20.06B
6.88%
17.13B
14.59%
20.34B
18.73%
20.03B
1.55%
27.84B
39.00%
other investing activites
-38.05M
-
-30.77M
19.13%
-27.96M
9.14%
-13.13M
53.06%
-33.76M
157.22%
50.42M
249.35%
-77.92M
254.54%
30.06M
138.58%
-333.85M
1,210.51%
-29.50M
91.16%
net cash used for investing activites
-1.20B
-
-2.05B
71.34%
-1.71B
16.43%
-942.25M
44.95%
-2.08B
120.24%
-2.71B
30.56%
-2.24B
17.16%
-5.26B
134.39%
-5.38B
2.31%
-4.51B
16.17%
debt repayment
-774.34M
-
-518.64M
33.02%
-2.03M
99.61%
-97.49M
4,707.00%
-1.64M
98.32%
-38.54M
2,248.63%
-526.71M
1,266.63%
-15.59M
97.04%
-37.99M
143.65%
-757.30M
1,893.42%
common stock issued
876K
-
4.01M
357.42%
7.76M
93.71%
559K
92.80%
44K
92.13%
498K
1,031.82%
31K
93.78%
313K
909.68%
31K
90.10%
27.10M
87,319.35%
common stock repurchased
-4.78M
-
-3.60M
24.63%
-20.05M
456.27%
-4.51M
77.51%
-53K
98.82%
-40K
24.53%
-112K
180%
-341K
204.46%
-131K
61.58%
dividends paid
-403.38M
-
-557.43M
38.19%
-612.95M
9.96%
-647.07M
5.57%
-657.73M
1.65%
-687.25M
4.49%
-708.84M
3.14%
-588.48M
16.98%
-723.48M
22.94%
-768.60M
6.24%
other financing activites
534.01M
-
20.88M
96.09%
354K
98.30%
58.46M
16,413.56%
808.89M
1,283.71%
833.59M
3.05%
509.59M
38.87%
881.61M
73.00%
894.82M
1.50%
net cash used provided by financing activities
-647.61M
-
-1.05B
62.87%
-626.91M
40.57%
-690.04M
10.07%
149.51M
121.67%
108.25M
27.59%
-726.04M
770.68%
277.51M
138.22%
133.25M
51.98%
-1.50B
1,224.79%
effect of forex changes on cash
46.06M
-
17.71M
61.54%
34.85M
96.74%
-74.52M
313.82%
16.92M
122.70%
31.30M
84.97%
-73.19M
333.87%
120.13M
264.14%
53.22M
55.70%
-42.70M
180.23%
net change in cash
129.95M
-
19.72M
84.82%
27.67M
40.31%
-12.96M
146.84%
315.80M
2,536.56%
-60.66M
119.21%
187.22M
408.65%
77.04M
58.85%
-31.94M
141.46%
-268.40M
740.35%
cash at beginning of period
642.94M
-
772.88M
20.21%
821.00M
6.23%
848.67M
3.37%
835.71M
1.53%
1.15B
37.79%
1.09B
5.27%
1.28B
17.16%
1.36B
6.03%
1.32B
2.36%
cash at end of period
772.88M
-
792.60M
2.55%
848.67M
7.07%
835.71M
1.53%
1.15B
37.79%
1.09B
5.27%
1.28B
17.16%
1.36B
6.03%
1.32B
2.36%
1.05B
20.28%
operating cash flow
1.93B
-
3.10B
60.80%
2.33B
24.92%
1.69B
27.34%
2.22B
31.33%
2.51B
12.79%
3.23B
28.77%
4.94B
52.91%
5.16B
4.53%
5.79B
12.03%
capital expenditure
198.79M
-
-148.59M
174.75%
183.80M
223.70%
-265.07M
244.22%
-84.57M
68.10%
102.89M
221.67%
-369.33M
458.94%
-344.12M
6.83%
free cash flow
2.13B
-
2.96B
38.81%
2.52B
14.92%
1.43B
43.19%
2.14B
49.78%
2.61B
22.06%
2.86B
9.56%
4.60B
60.62%
5.16B
12.36%
5.79B
12.03%

All numbers in EUR (except ratios and percentages)