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NYSE:BAMR

Brookfield Reinsurance Ltd.

  • Stock

USD

Last Close

33.64

14/12 05:00

Market Cap

1.57B

Beta: -

Volume Today

24.16K

Avg: 21.67K

PE Ratio

4.11

PFCF: 6.44

Dividend Yield

0.73%

Payout:0%

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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
asset turnover
0.23
-
-0.04
118.70%
0.03
177.94%
0.47
1,283.86%
0.43
7.01%
0.03
93.54%
0.03
11.77%
0.05
51.37%
0.04
24.46%
0.03
25.23%
0.04
61.70%
0.03
29.20%
0.04
34.67%
0.04
4.70%
cash conversion cycle
-27.63K
-
cash per share
1.54
-
3.22
109.28%
30.68
853.28%
33.84
10.29%
15.65
53.75%
11.50
26.53%
59.91
421.15%
108.89
81.75%
42.45
61.02%
416.18
880.41%
417.67
0.36%
139.89
66.51%
42.65
69.51%
company equity multiplier
17.32
-
12.47
28.02%
2.11
83.08%
3.81
80.72%
8.01
110.18%
8.00
0.17%
31.55
294.65%
63.19
100.25%
10.98
82.62%
9.18
16.38%
10.58
15.19%
7.53
28.83%
9.69
28.78%
9.44
2.59%
days of inventory outstanding
days of payables outstanding
27.63K
-
days of sales outstanding
0.89
-
-4.43
599.20%
25.28
670.12%
0.79
96.87%
0.69
13.42%
19.17
2,694.30%
31.68
65.30%
21.94
30.76%
25.20
14.88%
81.62
223.86%
50.61
37.99%
54.93
8.53%
dividend yield
0.00
-
ebit per revenue
0.01
-
-0.01
190.48%
0.01
167.54%
0.01
26.48%
-0.07
1,115.44%
0.03
151.47%
-0.00
110.45%
-0.01
82.27%
0.44
6,928.82%
0.03
92.71%
0.17
428.61%
0.15
8.68%
0.16
6.24%
0.18
10.55%
0.04
76.75%
-0.02
151.05%
-0.00
91.00%
ebt per ebit
1.21
-
1
17.16%
1
0%
1
0%
0.99
0.53%
1
0.53%
1
0%
1.28
28.13%
0.94
26.90%
0.17
81.77%
0.80
368.93%
0.65
19.33%
-0.53
181.74%
0.99
287.91%
1.02
2.33%
-9.56
1,041.73%
-72.40
657.32%
effective tax rate
0.25
-
0.25
-
0.26
3.73%
0.33
27.65%
0.25
25.00%
-0.05
119.51%
0.04
177.07%
0.86
2,180%
0.16
81.51%
0.10
38.94%
0.11
9.29%
0.03
67.05%
-0.15
528.24%
-0.05
64.96%
0.07
232.04%
enterprise value multiple
788.11
-
406.16
48.46%
199.02
51.00%
-66.86
133.60%
-76.79
14.85%
16.89
121.99%
83.00
391.43%
4.49
94.59%
13.61
203.01%
16.04
17.84%
6.00
62.60%
16.50
175.00%
-166.18
1,107.28%
213.79
228.66%
fixed asset turnover
185.23
-
-29.32
115.83%
29.67
201.17%
757.33
2,452.81%
2.49K
229.18%
162
93.50%
7.13
95.60%
10.54
47.80%
8.03
23.88%
6.23
22.34%
12.98
108.26%
9.56
26.35%
free cash flow per share
0.76
-
0.10
86.47%
3.45
3,255.47%
11.00
218.72%
-0.57
105.19%
1.61
382.65%
38.26
2,274.09%
26.19
31.57%
3.48
86.70%
3.52
1.09%
2.56
27.41%
-5.54
316.66%
3.32
159.96%
10.89
227.91%
3.69
66.13%
0.26
93.07%
gross profit margin
1
-
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1.00
0.02%
1
0.02%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
interest coverage
-4.83
-
188.10
-
-4
-
15.78
494.44%
1.21
92.36%
4.73
292.13%
2.89
38.85%
0.65
77.37%
1
52.79%
0.19
81.20%
-0.74
491.04%
-0.07
90.56%
inventory turnover
long term debt to capitalization
0.01
-
0.33
-
0.34
4.92%
0.73
112.56%
0.83
14.71%
0.49
41.21%
0.43
11.76%
0.43
0.97%
0.30
30.02%
0.31
3.34%
0.30
2.72%
net income per ebt
0.75
-
1
33.07%
1
0%
0.75
25.17%
0.74
1.25%
0.67
9.77%
0.75
12.50%
1.05
39.84%
0.96
8.24%
0.14
85.16%
0.83
478.49%
0.90
9.29%
0.89
1.00%
0.97
8.83%
1.13
16.56%
0.95
16.45%
0.92
3.23%
net profit margin
0.01
-
-0.01
199.74%
0.01
167.54%
0.00
44.99%
-0.05
1,097.36%
0.02
146.69%
-0.00
111.75%
-0.01
226.57%
0.40
4,680.88%
0.00
99.80%
0.11
14,239.42%
0.09
19.49%
-0.08
185.98%
0.17
326.08%
0.05
72.27%
0.19
301.64%
0.13
34.05%
operating cash flow per share
0.76
-
0.10
86.54%
3.45
3,270.79%
11.02
219.37%
-0.56
105.07%
1.64
392.94%
38.32
2,242.67%
26.19
31.67%
3.48
86.70%
3.52
1.09%
2.73
22.52%
-5.32
295.00%
3.82
171.85%
10.89
184.85%
3.71
65.96%
0.26
93.10%
operating cycle
0.69
-
operating profit margin
0.01
-
-0.01
190.48%
0.01
167.54%
0.01
26.48%
-0.07
1,115.44%
0.03
151.47%
-0.00
110.45%
-0.01
82.27%
0.44
6,928.82%
0.03
92.71%
0.17
428.61%
0.15
8.68%
0.16
6.24%
0.18
10.55%
0.04
76.75%
-0.02
151.05%
-0.00
91.00%
payables turnover
0.00
-
pretax profit margin
0.02
-
-0.01
174.96%
0.01
167.54%
0.01
26.48%
-0.07
1,110.04%
0.03
151.75%
-0.00
110.45%
-0.01
133.53%
0.41
5,092.01%
0.01
98.67%
0.14
2,378.76%
0.10
26.33%
-0.09
186.84%
0.18
307.73%
0.04
76.21%
0.21
380.73%
0.14
31.85%
price fair value
20.78
-
15.45
25.66%
1.16
92.51%
0.74
36.35%
1.50
104.21%
1.36
9.43%
1.57
15.13%
2.17
38.67%
0.40
81.63%
0.35
12.62%
0.39
10.77%
0.24
37.97%
0.76
216.96%
receivables turnover
101.32
-
-20.30
120.03%
3.56
117.54%
113.60
3,091.01%
131.21
15.50%
4.70
96.42%
2.84
39.50%
4.10
44.42%
3.57
12.95%
1.10
69.12%
1.78
61.27%
1.64
7.86%
return on assets
0.00
-
0.00
86.46%
0.00
63.61%
-0.00
262.63%
-0.00
203.68%
0.01
395.72%
0.00
99.78%
0.01
21,605.27%
0.00
39.18%
-0.00
164.28%
0.01
465.57%
0.00
80.37%
0.01
440.87%
0.01
30.95%
return on capital employed
0.00
-
0.00
90.45%
0.00
59.83%
-0.00
247.11%
-0.00
68.88%
0.01
539.66%
0.00
91.96%
0.01
700.21%
0.01
29.75%
0.00
22.30%
0.01
78.76%
0.00
81.85%
-0.00
172.73%
-0.00
90.61%
return on equity
0.02
-
0.03
34.21%
0.00
93.84%
-0.00
393.90%
-0.03
538.26%
0.09
395.21%
0.00
99.13%
0.33
43,365.65%
0.04
89.43%
-0.02
153.75%
0.08
521.12%
0.01
86.03%
0.08
596.52%
0.05
32.74%
total debt to capitalization
0.01
-
0.34
-
0.34
1.15%
0.73
112.56%
0.83
14.71%
0.50
40.04%
0.43
13.48%
0.43
0.97%
0.46
7.57%
0.52
12.34%
0.51
2.30%

All numbers in USD (except ratios and percentages)