Chubb LtdCB

Market cap
$118.9B
P/E ratio
Dec 31,
2010
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net Realized Gains Losses----------4981,152-965-607117
Accretion (Amortization) of Discounts and Premiums, Investments-----------332-189148367
Amortization of purchased intangibles------260339305290287285310323
Deferred income taxes-1167-240-145-113-96527-169733374-1321,124-96
Equity in net income of subsidiaries and affiliates--------6171,0192,43316867967
Unpaid losses and loss expenses-----3753322,137570-2574,6645,7914,2223,4704,567
Unearned premiums262522402441335-6802646541,0518461,8571,4771,3771,805
Future policy benefits481581912362161882172352152362394648481,841
Insurance and reinsurance balances payable--151176376268848271722-302535582461-155-105
Accounts payable, accrued expenses, and other liabilities--423713179-97-517375-207-98536223-735342
Income taxes10-167-45103-148147-365161-74648-14912869
Insurance and reinsurance balances receivable--335624469536162439812701149846961,0721,278
Reinsurance recoverable-----------1,77649830
Deferred policy acquisition costs1933405033974351,449317301344892473281,1001,429
Net sales of investments by consolidated investment products------------450278
Other-172-335-212-149-313-287-182351-38260219-477-1,819-1,374
Net Cash Provided by (Used) in Operating Activities, Total3,5463,9954,0224,4963,864---6,3429,78511,14911,24312,63216,182
Purchases of fixed maturities available-for-sale29,98523,45521,34015,55316,04030,75925,72024,70025,84626,29830,22227,84428,67233,759
Purchases of fixed maturities held-to-maturity61638844726762282352456229202594618208-
Purchases of equity securities----------1,1678951,3954,333
Sales of fixed maturities available-for-sale23,09614,32110,3557,48210,78316,62113,22814,00113,11011,3776,59616,85514,59312,815
Sales of equity securities----------1,0184,6151,0842,996
Maturities and redemptions of fixed maturities available-for-sale3,6605,5236,9416,4136,5679,34910,4257,3529,03912,45017,3619,4157,02610,810
Maturities and redemptions of fixed maturities held-to-maturity1,3531,4511,4888756699588791,1249469951,9641,712708-
Net change in short-term investments---5246038,216-12,350537-5161,11781-1,1751,452-1,169763
Net derivative instruments settlements-28147123021168265-167031132198415393
Private equity contributions-------1,3371,3151,9242,4712,6492,0241,070
Private equity distributions-------9801,3909071,4211,0171,1641,397
Acquisition of subsidiaries (net of cash acquired of nil, $560, and $366)1,13998977766-26414,248--29--4,98234538
Cash And Cash Equivalents Increase (Decrease) Due To Consolidation And Deconsolidation Of Investment Products------------17-27
Other333555393274263-101145331,2374703375608891,412
Net Cash Provided by (Used in) Investing Activities-4,181-3,439-4,442-2,504-6,294----5,905-7,521-6,659-5,654-7,648-13,923
Dividends paid on Common Shares4358155178628621,1731,3081,3371,3541,3881,4011,3751,3941,436
Common Shares repurchased235112871,429758-8011,0441,5305234,8612,8942,4111,801
Proceeds from issuance of long-term debt699-9476996,090--2,1712,8289881,576--2,408
Proceeds from Short-Term Debt1,3002,9332,5721,9782,0292,3102,3532,0292,8172,3541,8584,5104,9844,505
Repayments of Long-term Debt---5011,150-5012,0015101,301-1,0004751,437
Repayment of repurchase agreements-2,7832,5721,9772,0272,3112,3482,0192,8172,3541,8584,5084,7284,822
Proceeds from share-based compensation plans-126135127131167151115204145300264212356
Policyholder contract deposits----5035224424535144705124966451,024
Policyholder contract withdrawals----221253307358303386454519458709
Third-party capital invested into consolidated investment products------------1261,614
Third-party capital distributed by consolidated investment products------------7451,621
Proceeds from (Payments for) Other Financing Activities--113188-40-4----87-81-101-245-262
Net cash flows (used for) from financing activities732-550391-1,7773,695----151-2,082-4,409-5,127-4,489-2,181
Effect of foreign currency rate changes on cash and restricted cash------------146-1-150
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect-------489306190-25316494-72
Taxes paid4344382183494696627365039129021,2981,2421,4651,662
Interest paid204240253264259642644621512524492552553599
Market Risk Benefit, Change in Fair Value, Gain (Loss)-------------307-140
Net income------------9,0159,640