Chubb Ltd (CB) Cash flow

Market cap
$128.1B
P/E ratio
12.8x
2010/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/122025/12
Cash from operations 3,5463,9954,0224,4963,8645,2924,5035,4806,3429,78511,14911,24312,63216,18212,816
Cash from investing -4,181-3,439-4,442-2,504-6,294-5,315-2,442-2,935-5,905-7,521-6,659-5,654-7,648-13,923-11,260
Repurchases of common stock235112871,429758-8011,0441,5305234,8612,8942,4111,8013,694
Proceeds from issuance of term debt, net699-9476996,090--2,1712,8289881,576--2,4082,424
Repayments of term debt---5011,150-5012,0015101,301-1,0004751,437800
Cash from financing 732-550391-1,7773,695-742-2,319-1,991-151-2,082-4,409-5,127-4,489-2,181-1,850
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