Enstar Group LTDESGR

時価総額
$49.2億
PER
4.4倍
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Short-term Investments----2231801145156142
Fixed maturities----4,3885,6967,2496,3464,5953,7562,3701,949
Debt Securities, Trading-281131874,6115,8768,698-----
Short-term Investments---------343862
Fixed maturities---------5,6525,2235,261
Short-term and fixed maturity investments, available for sale---------5,6865,2615,323
Funds held - directly managed, at fair value----9951,1801,1981,1881,0753,0072,040-
Funds held-----------5,251
Equity Securities, FV-NI, Current------3677308471,9951,250701
Other investments, at fair value (includes consolidated variable interest entity: 2023 — $59; 2022 — $3 )----------3,2963,853
Equity method investments------205326832493397334
Total investments3,3535,5206,0047,4546,0437,23211,24213,20815,25717,27614,62817,413
Cash and Cash Equivalents, at Carrying Value6556449638229559556027039011,646822564
Restricted cash and cash equivalents300398535511364258381353472446508266
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Cost----------856740
Interest Receivable-----------71
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Fair Value----------275217
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Cost----------856740
Insurance Recoverables-------449250213177172
Reinsurance Recoverable For Paid And Unpaid Claims And Claims Adjustments, Fair Value----------275217
Funds held by reinsured companies (Note 6)365238135109821753214096362,3003,582-
Insurance Recoverables-------449250213177172
Net deferred charge assets (Note 10)---------371658731
Other assets154121557842831644745926620648739
TOTAL ASSETS5,8828,6209,93711,83212,86613,60616,55619,36321,64724,42922,15420,913
Losses and loss adjustment expenses (Note 11)----------11,72111,196
Liability For Claims And Claims Adjustment Expense, Fair Value----------1,2861,163
Future policyholder benefits (Note 12) (1)---------1,5021,184-
Defendant asbestos and environmental liabilities (Note 13)-------848706638607567
Reinsurance Payable143---39423738837349425410043
Long-Term Debt1074523206006746478621,1911,3731,6911,8291,831
Other Liabilities997051359705972566464943581462465
TOTAL LIABILITIES4,1076,5427,0398,8949,6009,98112,18414,06814,59417,92417,18915,265
REDEEMABLE NONCONTROLLING INTERESTS (Note 19)-101375418455480459439365179168-
Ordinary shares--16---------
Treasury shares, at cost (Series C Preferred Shares 2023 and 2022: 388,571)--------422---
Joint Share Ownership Plan (voting ordinary shares, held in trust 2023 and 2022: 565,630)--------1111
Additional paid-in capital----1,3801,3951,8051,8371,836922766579
Accumulated other comprehensive loss2414-13-35-241010781-16-575-336
Retained earnings9731,1811,3951,5781,8482,1331,9772,8884,6475,0854,4065,190
Total Enstar Shareholders’ Equity1,7751,9782,5232,5212,8113,1463,9144,8566,6886,3264,7975,648
Noncontrolling interests (Note 19)22122221849912141423096113
TOTAL SHAREHOLDERS’ EQUITY1,7751,9782,5232,5212,8113,1463,9144,8566,6886,3264,7975,648
TOTAL LIABILITIES, REDEEMABLE NONCONTROLLING INTERESTS AND SHAREHOLDERS’ EQUITY5,8828,6209,93711,83212,86613,60616,55619,36321,64724,42922,15420,913