
Reinsurance Group of America, Incorporated
Reinsurance Group of America, Incorporated (RGA) Free Cash Flow & Analysis
Annual & trailing free cash flow, FCF margin, YoY change, valuation ratios, and peer context.
RGA · free cash flow · updated Jun 8, 2026
Core FCF metrics
RGA · FCF · TTM · margin & CAGRFree cash flow was $4.09B for FY2025 (fiscal year ending 2025-12-31), down 56.3% year-over-year The FCF margin was 17.9%. Five-year CAGR stands at +4.4%.
Annual free cash flow history
Annual free cash flow data
FCF valuation metrics
RGA · P/FCF · FCF yield · FCF per shareReinsurance Group of America, Incorporated (RGA) trades at a FCF yield of 41.54% and a price-to-free-cash-flow ratio of 2.4x. FCF per share stands at $83.75, calculated using trailing twelve-month FCF divided by basic weighted-average shares outstanding.
Cash flow statement summary
RGA · cash flow statement · operating / investing / financingFor FY2025, Reinsurance Group of America, Incorporated generated $4.09B in operating cash flow and spent 0M in capital expenditures, yielding $4.09B in free cash flow.
For the complete Operating / Investing / Financing line-item breakdown:
View Full Cash Flow Statement →Free cash flow vs peers (Financial Services)
About Free Cash Flow & Methodology
Reinsurance Group of America, Incorporated (RGA) reported free cash flow of $4.09B for FY2025 (fiscal year ending 2025-12-31), down 56.3% year-over-year. The FCF margin was 17.9%.
Based on available data, Reinsurance Group of America, Incorporated has maintained positive free cash flow for at least 15 fiscal year(s). FCF peaked at $9.37B in FY2024. The 5-year CAGR stands at +4.4%.
Reinsurance Group of America, Incorporated's FCF yield is 41.54% and price-to-FCF ratio is 2.4x for FY2025, based on the latest available data.
Data sourced from FMP /cash-flow-statement · SEC 10-K / 10-Q · USD.
Frequently asked questions
RGA free cash flow · 8 questionsReinsurance Group of America, Incorporated free cash flow was $4.09B for FY2025, down 56.3% year-over-year. On a trailing twelve-month (TTM) basis, free cash flow stands at $5.54B.
▸ Source: FMP /cash-flow-statement · US GAAP · Reinsurance Group of America, Incorporated · Reinsurance Group of America, Incorporated SEC 10-K & 10-Q filings · US GAAP · Last updated: Jun 8, 2026