RIMAC Seguros y Reaseguros S.A. (BVL:RIMSEGC1)
Peru flag Peru · Delayed Price · Currency is PEN
1.300
0.00 (0.00%)
At close: Mar 31, 2026

BVL:RIMSEGC1 Balance Sheet

Millions PEN. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Investments in Debt Securities
10,75510,9999,5109,6508,309
Policy Loans
-48.9439.3234.2435.65
Other Investments
1,9491,4132,1081,4442,237
Total Investments
14,58414,22313,30412,36912,000
Cash & Equivalents
838.37657.4452.01643.05647.39
Reinsurance Recoverable
280.98358.87567.83348.43417.03
Other Receivables
2,2952,3052,0841,9181,913
Property, Plant & Equipment
1,119960.4756.54763.99606.51
Goodwill
4.254.254.254.254.25
Other Intangible Assets
332.2288.92254.08222.21165.54
Restricted Cash
0.163.675.530.34-
Other Current Assets
2,0372,1272,2492,6072,377
Long-Term Deferred Tax Assets
68.6311.895.669.3420.95
Other Long-Term Assets
703.46827.65784.31641.89606.69
Total Assets
22,26321,76820,46719,52818,759
Accounts Payable
574.59346.86286.49285.85247.92
Accrued Expenses
230.11344.93402.23339.35298.68
Insurance & Annuity Liabilities
314.69219.55180.08167.72166.6
Unpaid Claims
3,2514,5724,7623,7273,682
Unearned Premiums
13,02413,18111,91211,23310,730
Reinsurance Payable
1,31128.091.961,1931,169
Current Portion of Long-Term Debt
--58.617.2418.26
Current Portion of Leases
74.3517.119.0313.1911.86
Current Income Taxes Payable
-67.6246.2860.5645.71
Long-Term Debt
18.3632.7241.2843.49124.87
Long-Term Leases
34.1633.9423.6824.626.01
Long-Term Deferred Tax Liabilities
--0.160.160.1
Other Current Liabilities
0.2248.4873.28154.1788.21
Other Long-Term Liabilities
391.26----
Total Liabilities
19,22318,90917,82617,28016,631
Common Stock
2,1902,0521,9341,7841,652
Retained Earnings
903.92875.1822.58608.09479.26
Comprehensive Income & Other
-57.2-72.14-119.52-147.42-6.16
Total Common Equity
3,0372,8552,6372,2452,125
Minority Interest
3.483.683.462.932.49
Shareholders' Equity
3,0402,8592,6412,2482,127
Total Liabilities & Equity
22,26321,76820,46719,52818,759
Filing Date Shares Outstanding
2,1902,1902,1902,1902,190
Total Common Shares Outstanding
2,1902,1902,1902,1902,190
Total Debt
126.8783.75142.5998.51181.01
Net Cash (Debt)
711.51573.65309.42544.53466.39
Net Cash Growth
24.03%85.40%-43.18%16.75%-2.21%
Net Cash Per Share
0.320.260.140.250.21
Book Value Per Share
1.391.301.201.020.97
Tangible Book Value
2,7002,5622,3792,0181,955
Tangible Book Value Per Share
1.231.171.090.920.89
Land
-233.73175.47175.47150.39
Buildings
-545.67534.41496.68300.78
Machinery
-204.03188.65172.79163.4
Construction In Progress
-188.0512.428.9820.76
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Insurance template. Financial Sources.