Assurant, Inc. (AIZ) — Cash Flow Reinvestment Rate

Latest as of June 2026: 0.51x

Assurant, Inc. (AIZ) has a Cash Flow Reinvestment Rate of 0.51x as of June 2026, reinvesting $229.60 Million (capex $47.70 Million plus investments $-181.90 Million) from operating cash flow of $454.40 Million. See cash generation quality of Assurant, Inc. to measure how efficiently the company converts operating cash flow to free cash.

Reinvestment Rate

0.51x
(Capex + Investments) / Operating CF

Total Reinvested

$229.60 Million
Capex + Investments

Operating Cash Flow

$454.40 Million
USD

Capital Expenditures

$47.70 Million
USD

Assurant, Inc. Cash Flow Reinvestment Rate (2001–2025)

Historical reinvestment intensity for Assurant, Inc. across 25 annual periods. For the full cash flow conversion analysis, see Assurant, Inc. cash conversion from operations.

Annual Cash Flow Reinvestment Rate for Assurant, Inc. (2001–2025)

Year-by-year capital reinvestment analysis for Assurant, Inc.. See Assurant, Inc. free cash flow to debt ratio to measure the company's free cash flow as a share of total liabilities.

Year Reinvestment Rate Total Reinvested (USD) Operating CF Capex YoY Change
2025 0.79x $1.46 Billion $1.83 Billion $235.50 Million ▲ +20.4%
2024 0.66x $879.10 Million $1.33 Billion $221.30 Million ▼ -22.6%
2023 0.85x $970.50 Million $1.14 Billion $202.50 Million ▲ +131.4%
2022 0.37x $220.00 Million $596.90 Million $186.30 Million ▼ -70.4%
2021 1.24x $972.10 Million $781.70 Million $187.40 Million ▲ +320.5%
2020 0.30x $396.90 Million $1.34 Billion $121.20 Million ▲ +117.4%
2019 0.14x $192.30 Million $1.41 Billion $110.30 Million ▼ -35.3%
2018 0.21x $138.20 Million $656.70 Million $82.80 Million ▼ -82.8%
2017 1.23x $650.70 Million $530.40 Million $62.10 Million ▼ -80.2%
2016 6.19x $833.30 Million $134.53 Million $85.23 Million ▲ +147.1%
2015 2.51x $638.12 Million $254.57 Million $114.90 Million ▲ +68.2%
2014 1.49x $586.90 Million $393.82 Million $83.60 Million ▲ +37.1%
2013 1.09x $1.12 Billion $1.03 Billion $52.33 Million ▲ +63.3%
2012 0.67x $452.44 Million $679.70 Million $56.46 Million ▲ +1492.7%
2011 0.04x $35.75 Million $855.30 Million $35.75 Million ▼ -86.1%
2010 0.30x $162.66 Million $540.74 Million $51.21 Million ▲ +45.3%
2009 0.21x $55.88 Million $269.93 Million $55.88 Million ▲ +268.9%
2008 0.06x $56.07 Million $999.13 Million $56.07 Million ▲ +15.1%
2007 0.05x $58.68 Million $1.20 Billion $58.68 Million ▼ -39.8%
2006 0.08x $74.71 Million $923.00 Million $74.71 Million ▲ +49.6%
2005 0.05x $55.20 Million $1.02 Billion $55.20 Million ▼ -22.7%
2004 0.07x $58.41 Million $834.16 Million $58.41 Million ▼ -36.5%
2003 0.11x $81.75 Million $741.23 Million $81.75 Million ▼ -46.1%
2002 0.20x $74.67 Million $364.96 Million $74.67 Million ▲ +129.6%
2001 0.09x $47.78 Million $536.16 Million $47.78 Million
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow