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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
Profitability
Net margin4.9%-0.1pp5%+1.1pp3.9%+0.3pp3.5%-0.2pp3.8%+0.5pp
Free cash flow margin9.2%-6.9pp16.1%-45.3pp61.4%-2.0pp63.3%-1.6pp64.9%+22.6pp
Returns
Return on equity9.9%+0.2pp9.8%+2.5pp7.2%+0.1pp7.1%-0.5pp7.6%+0.4pp
Return on assets0.8%0.0pp0.9%+0.2pp0.6%0.0pp0.6%0.0pp0.7%0.0pp
Efficiency
Asset turnover0.2×0.0×0.2×0.0×0.2×0.0×0.2×0.0×0.2×0.0×
Leverage
Debt-to-equity0.6×+0.1×0.4×0.0×0.4×-0.2×0.6×0.0×0.6×0.0×
Debt-to-assets0.0×0.0×0.0×0.1×0.0×0.1×0.0×
Valuation
Market capitalization$13.39B+0.1%$13.37B+5.3%$12.7B-2.7%$13.05B+0.4%$13B-7.6%
Enterprise value$15.8B-5.0%$16.62B+20.4%$13.81B-6.5%$14.77B-0.7%$14.88B-12.9%
Price / earnings10.9×-0.4×11.3×-3.3×14.6×-2.3×16.9×+0.6×16.4×-3.2×
Price / sales0.5×0.0×0.6×0.0×0.6×0.0×0.6×0.0×0.6×0.0×
Price / book0.0×0.0×-0.1×1.1×-0.1×1.1×-0.2×
EV / sales0.6×-0.1×0.7×+0.1×0.6×-0.1×0.7×0.0×0.7×-0.1×
Free cash flow yield17.1%-11.4pp28.5%-79.3pp107.8%+2.3pp105.5%+0.6pp105%+38.6pp
Earnings yield9.2%+0.3pp8.9%+2.0pp6.8%+0.9pp5.9%-0.2pp6.1%+1.0pp
Dividend yield1.8%0.0pp1.8%-0.1pp1.9%+0.1pp1.8%0.0pp1.8%+0.2pp

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Questions, answered.

Where do Reinsurance Group of America's ratios come from?
Every ratio is computed from Reinsurance Group of America's SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.