How RenaissanceRe Holdings (RNR) Makes Money: A Visual Guide
RenaissanceRe Holdings (RNR) generated $12.75B in revenue (TTM through Q4 2025), earning $2.68B in net profit (21% margin). Below is an interactive breakdown of how revenue flows through the income statement.
RenaissanceRe Holdings (RNR) Income Statement Flow
Frequently asked questions
How much revenue does RenaissanceRe Holdings (RNR) generate?
- RenaissanceRe Holdings (RNR) generated $12.75B in total revenue for TTM through Q4 2025 with a net profit margin of 21%.
What is RenaissanceRe Holdings (RNR) gross profit margin?
- RenaissanceRe Holdings (RNR) reported a gross profit margin of 40.7% for TTM through Q4 2025, equivalent to $5.18B in gross profit. This means RenaissanceRe Holdings retains 40.7% of each revenue unit after direct costs of production.
What is RenaissanceRe Holdings (RNR) operating profit margin?
- RenaissanceRe Holdings (RNR) reported an operating profit margin of 31.5% for TTM through Q4 2025, equivalent to $4.01B in operating profit. This reflects profitability after operating expenses such as R&D, sales, and administration, but before taxes and non-operating items.
What is RenaissanceRe Holdings (RNR) net profit margin?
- RenaissanceRe Holdings (RNR) reported a net profit margin of 21% for TTM through Q4 2025, equivalent to $2.68B in net profit. This is the share of revenue that remains as profit after all expenses, taxes, and non-operating items.
What is RenaissanceRe Holdings (RNR) free cash flow?
- RenaissanceRe Holdings (RNR) generated $3.69B in free cash flow for TTM through Q4 2025 (29.0% of total revenue). Free cash flow is the cash remaining after capital expenditures and represents the company's ability to fund growth, pay dividends, or reduce debt.
What is RenaissanceRe Holdings (RNR) effective tax rate?
- RenaissanceRe Holdings (RNR) had an effective tax rate of 9.9% for TTM through Q4 2025. This is the actual percentage of pre-tax income paid as income taxes.
Data & methodology
What is a Sankey diagram?
- A Sankey diagram shows how money flows through a company from revenue to net profit. The width of each flow represents its proportion.
How is the data calculated?
- We use the income statement from company filings. For TTM (Trailing Twelve Months), we use a pre-aggregated twelve-month view aligned with our latest four quarterly periods. Revenue flows to cost of revenue and gross profit, then to operating expenses (R&D, S&M, G&A) and operating profit.
When was this data last updated?
- Based on company filings through TTM through Q4 2025.
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