Company: AXS-PE
Filing Date: 2025-02-26
Form Type: 10-K
Source: 0001214816-25-000056
Chunk: 222

Company: AXIS CAPITAL HOLDINGS LTD
Filing Date: 2025-02-26
Form: 10-K
Item: Item 16
Chunk 222
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140)Share-based compensation expense, net of cash payments42,731 54,119 48,494 Net cash provided by operating activities401,240 206,100 228,973 Cash flows from financing activities:Taxes paid on withholding shares(15,925)(23,595)(13,994)Dividends paid - common shares(151,765)(153,775)(149,341)Repurchase of common shares - open market(199,944)— (34,987)Dividends paid - preferred shares(30,250)(30,250)(30,250)Net cash used in financing activities(397,884)(207,620)(228,572)Increase (decrease) in cash, cash equivalents and restricted cash3,356 (1,520)401 Cash, cash equivalents and restricted cash - beginning of year412 1,932 1,531 Cash, cash equivalents and restricted cash - end of year$3,768 $412 $1,932 

248

SCHEDULE III

AXIS CAPITAL HOLDINGS LIMITEDSUPPLEMENTARY INSURANCE INFORMATION  At and year ended December 31, 2024(in thousands)DeferredacquisitioncostsReservefor lossesand lossexpensesUnearnedpremiumsNetpremiumsearnedNetinvestment income(1)Net lossesand lossexpensesAcquisitioncostsOtheroperating expenses(2)NetpremiumswrittenInsurance$343,476 $10,499,703 $3,859,162 $3,926,036 $— $2,245,420 $766,915 $485,929 $4,250,545 Reinsurance181,361 6,719,226 1,352,703 1,380,199 — 913,067 303,636 50,513 1,506,806 Corporate— — — — 759,229 — — 129,760 — Total$524,837 $17,218,929 $5,211,865 $5,306,235 $759,229 $3,158,487 $1,070,551 $666,202 $5,757,351  At and year ended December 31, 2023(in thousands)DeferredacquisitioncostsReservefor lossesand lossexpensesUnearnedpremiumsNet