CINCINNATI FINANCIAL CORPCINF

時価総額
$259.5億
PER
損害保険と生命保険の大手。独立系代理店経由の販売と3年契約の商業保険パッケージを展開。2019年2月にロンドンの専門引受会社を買収、2024年の再保険純保険料は5.97億ドル。米国46州中心にロイズ市場経由でグローバル展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Debt Securities, Available-for-Sale8,3838,7799,0939,1219,4609,65010,08510,69910,68911,69812,33813,02212,13213,79116,182
Equity Securities, FV-NI-----------11,3159,84110,98911,185
Short-Term Investments--------------298
Other Investments84666868686781103123296348329452577713
Total investments11,50811,80112,53413,56414,38614,42315,50017,05116,73219,74621,54224,66622,42525,35728,378
Cash and cash equivalents------------1,264907983
Investment income receivable119119115121123129134134132133136144160192222
Finance receivable--------------120
Premiums receivable1,0151,0871,2141,3461,4051,4311,5331,5891,6441,7771,8792,0532,3222,5922,969
Reinsurance recoverable----------517570640651523
Prepaid reinsurance premiums182426262954624244546578795570
Deferred Policy Acquisition Cost4885104705655786166376707387748059051,0141,0931,242
Property, Plant and Equipment, Net229227217210194185183185195207213205202208214
Other assets6793617375154198216308381438570646681828
Separate accounts621671734692752748766806803882952959892925952
Total assets15,09515,66816,54817,66218,75318,88820,38621,84321,93525,40827,54231,38729,73632,76936,501
Loss and loss expense reserves--------------10,003
Life policy and investment contract reserves--------------2,960
Unearned premiums1,5531,6331,7921,9762,0822,2012,3072,4042,5162,7882,9603,2713,6894,1194,813
Other liabilities5565176606116487177867928049289821,0921,2291,3111,487
Deferred income tax----------1,2991,7441,0451,3241,476
Note payable491041041044935202432395454502525
Long-Term Debt and Lease Obligation-821827835827821826827834846845843841849850
Separate accounts621671734692752748766806803882952959892925952
Total liabilities10,06310,61311,09511,59212,18012,46113,32613,60014,10215,54416,75318,28219,20520,67122,566
Commitments and Contingencies---------------
Common Stock, Value, Issued393393394397397397397397397397397397397397397
Paid-in capital1,0911,0961,1341,1911,2141,2321,2521,2651,2811,3061,3281,3561,3921,4371,502
Retained earnings3,9803,8854,0214,2684,5054,7625,0375,1807,6259,25710,08512,62511,70213,08414,869
Accumulated other comprehensive loss7699011,1291,5041,7441,3441,6932,78822448769648-636-435-309
Treasury stock, at cost (2024—41.9 million shares and 2023—41.3 million shares)1,2011,2201,2251,2901,2871,3081,3191,3871,4921,5441,7901,9212,3242,3852,524
Total shareholders' equity5,0325,0555,4536,0706,5736,4277,0608,2437,8339,86410,78913,10510,53112,09813,935
Total liabilities and shareholders' equity15,09515,66816,54817,66218,75318,88820,38621,84321,93525,40827,54231,38729,73632,76936,501