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Third Point Reinsurance Ltd Company Cash Flow from Operations Chart (TPRE)

Third Point Reinsurance Ltd Company annual/quarterly Cash Flow from Operations from 2012 to 2020. Cash flow from operating activities (CFO) is an accounting item that indicates the amount of money a company brings in from ongoing, regular business activities, such as manufacturing and selling goods or providing a service. Cash flow from operating activities does not include long-term capital or investment costs.
  • Third Point Reinsurance Ltd Company Cash Flow from Operations for the quarter ending September 09, 2020 was $15m a -199.19% decrease of -30m year over year
  • Third Point Reinsurance Ltd Company Cash Flow from Operations for the last 12 months ending September 09, 2020 was $90m a -57.32% decrease of -51m year over year
  • Third Point Reinsurance Ltd Company Annual Cash Flow from Operations for 2019 was $141m a 90.51% increase of 128m from 2018
  • Third Point Reinsurance Ltd Company Annual Cash Flow from Operations for 2018 was $13m a 686.66% increase of 92m from 2017
  • Third Point Reinsurance Ltd Company Annual Cash Flow from Operations for 2017 was $-79m a 106.07% decrease of -83m from 2016
Other Cash Flow Metrics:
  • Third Point Reinsurance Ltd Company Levered Free Cash Flow (FCF) for the quarter ending September 09, 2018 was $2,498m a 111.47% increase of 2,785m year over year
  • Third Point Reinsurance Ltd Company Total Revenue for the quarter ending December 12, 2018 was $-67m a 309.48% decrease of -208m year over year
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Quarterly TPRE Cash Flow from Operations Data

09/2020$15m
06/2020$34m
03/2020$-3m
12/2019$44m
09/2019$-1m
06/2019$75m
03/2019$23m
12/2018$-9m
09/2018$9m
06/2018$50m

Annual TPRE Cash Flow from Operations Data

2019$141m
2018$13m
2017$-79m
2016$5m
2015$188m
2014$122m
2013$20m
2012$-31m
2011$-6m