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 | - | - | - | - | - | - | - | - | - | -498 | 1,152 | -965 | -607 | 117 |
| Accretion (Amortization) of Discounts and Premiums, Investments | - | - | - | - | - | - | - | - | - | - | -332 | -189 | 148 | 367 |
| Amortization of purchased intangibles | - | - | - | - | - | - | 260 | 339 | 305 | 290 | 287 | 285 | 310 | 323 |
| Deferred income taxes | -116 | 7 | -240 | -145 | -113 | -96 | 527 | -16 | 97 | 333 | 74 | -132 | 1,124 | -96 |
| Equity in net income of subsidiaries and affiliates | - | - | - | - | - | - | - | - | 617 | 1,019 | 2,433 | 16 | 867 | 967 |
| Unpaid losses and loss expenses | - | - | - | - | -375 | 332 | 2,137 | 570 | -257 | 4,664 | 5,791 | 4,222 | 3,470 | 4,567 |
| Unearned premiums | 262 | 522 | 402 | 441 | 335 | -680 | 264 | 654 | 1,051 | 846 | 1,857 | 1,477 | 1,377 | 1,805 |
| Future policy benefits | 48 | 158 | 191 | 236 | 216 | 188 | 217 | 235 | 215 | 236 | 239 | 464 | 848 | 1,841 |
| Insurance and reinsurance balances payable | - | -151 | 176 | 376 | 268 | 848 | 271 | 722 | -302 | 535 | 582 | 461 | -155 | -105 |
| Accounts payable, accrued expenses, and other liabilities | - | -42 | 37 | 13 | 179 | -97 | -517 | 375 | -207 | -98 | 536 | 223 | -735 | 342 |
| Income taxes | 10 | -167 | -45 | 103 | -148 | 147 | -365 | 161 | -7 | 46 | 48 | -149 | 128 | 69 |
| Insurance and reinsurance balances receivable | - | -335 | 624 | 469 | 53 | 616 | 243 | 981 | 270 | 114 | 984 | 696 | 1,072 | 1,278 |
| Reinsurance recoverable | - | - | - | - | - | - | - | - | - | - | - | 1,776 | 498 | 30 |
| Deferred policy acquisition costs | 193 | 340 | 503 | 397 | 435 | 1,449 | 317 | 301 | 344 | 89 | 247 | 328 | 1,100 | 1,429 |
| Net sales of investments by consolidated investment products | - | - | - | - | - | - | - | - | - | - | - | - | 450 | 278 |
| Other | -172 | -335 | -212 | -149 | -313 | -287 | -182 | 351 | -38 | 260 | 219 | -477 | -1,819 | -1,374 |
| Net Cash Provided by (Used) in Operating Activities, Total | 3,546 | 3,995 | 4,022 | 4,496 | 3,864 | - | - | - | 6,342 | 9,785 | 11,149 | 11,243 | 12,632 | 16,182 |
| Purchases of fixed maturities available-for-sale | 29,985 | 23,455 | 21,340 | 15,553 | 16,040 | 30,759 | 25,720 | 24,700 | 25,846 | 26,298 | 30,222 | 27,844 | 28,672 | 33,759 |
| Purchases of fixed maturities held-to-maturity | 616 | 388 | 447 | 267 | 62 | 282 | 352 | 456 | 229 | 202 | 594 | 618 | 208 | - |
| Purchases of equity securities | - | - | - | - | - | - | - | - | - | - | 1,167 | 895 | 1,395 | 4,333 |
| Sales of fixed maturities available-for-sale | 23,096 | 14,321 | 10,355 | 7,482 | 10,783 | 16,621 | 13,228 | 14,001 | 13,110 | 11,377 | 6,596 | 16,855 | 14,593 | 12,815 |
| Sales of equity securities | - | - | - | - | - | - | - | - | - | - | 1,018 | 4,615 | 1,084 | 2,996 |
| Maturities and redemptions of fixed maturities available-for-sale | 3,660 | 5,523 | 6,941 | 6,413 | 6,567 | 9,349 | 10,425 | 7,352 | 9,039 | 12,450 | 17,361 | 9,415 | 7,026 | 10,810 |
| Maturities and redemptions of fixed maturities held-to-maturity | 1,353 | 1,451 | 1,488 | 875 | 669 | 958 | 879 | 1,124 | 946 | 995 | 1,964 | 1,712 | 708 | - |
| Net change in short-term investments | - | - | -524 | 603 | 8,216 | -12,350 | 537 | -516 | 1,117 | 81 | -1,175 | 1,452 | -1,169 | 763 |
| Net derivative instruments settlements | - | 281 | 471 | 230 | 21 | 168 | 265 | -16 | 703 | 113 | 219 | 84 | 153 | 93 |
| Private equity contributions | - | - | - | - | - | - | - | 1,337 | 1,315 | 1,924 | 2,471 | 2,649 | 2,024 | 1,070 |
| Private equity distributions | - | - | - | - | - | - | - | 980 | 1,390 | 907 | 1,421 | 1,017 | 1,164 | 1,397 |
| Acquisition of subsidiaries (net of cash acquired of nil, $560, and $366) | 1,139 | 98 | 977 | 766 | -264 | 14,248 | - | - | 29 | - | - | 4,982 | 34 | 538 |
| Cash And Cash Equivalents Increase (Decrease) Due To Consolidation And Deconsolidation Of Investment Products | - | - | - | - | - | - | - | - | - | - | - | - | 17 | -27 |
| Other | 333 | 555 | 393 | 274 | 263 | -10 | 114 | 533 | 1,237 | 470 | 337 | 560 | 889 | 1,412 |
| 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 Shares | 435 | 815 | 517 | 862 | 862 | 1,173 | 1,308 | 1,337 | 1,354 | 1,388 | 1,401 | 1,375 | 1,394 | 1,436 |
| Common Shares repurchased | 235 | 11 | 287 | 1,429 | 758 | - | 801 | 1,044 | 1,530 | 523 | 4,861 | 2,894 | 2,411 | 1,801 |
| Proceeds from issuance of long-term debt | 699 | - | 947 | 699 | 6,090 | - | - | 2,171 | 2,828 | 988 | 1,576 | - | - | 2,408 |
| Proceeds from Short-Term Debt | 1,300 | 2,933 | 2,572 | 1,978 | 2,029 | 2,310 | 2,353 | 2,029 | 2,817 | 2,354 | 1,858 | 4,510 | 4,984 | 4,505 |
| Repayments of Long-term Debt | - | - | - | 501 | 1,150 | - | 501 | 2,001 | 510 | 1,301 | - | 1,000 | 475 | 1,437 |
| Repayment of repurchase agreements | - | 2,783 | 2,572 | 1,977 | 2,027 | 2,311 | 2,348 | 2,019 | 2,817 | 2,354 | 1,858 | 4,508 | 4,728 | 4,822 |
| Proceeds from share-based compensation plans | - | 126 | 135 | 127 | 131 | 167 | 151 | 115 | 204 | 145 | 300 | 264 | 212 | 356 |
| Policyholder contract deposits | - | - | - | - | 503 | 522 | 442 | 453 | 514 | 470 | 512 | 496 | 645 | 1,024 |
| Policyholder contract withdrawals | - | - | - | - | 221 | 253 | 307 | 358 | 303 | 386 | 454 | 519 | 458 | 709 |
| Third-party capital invested into consolidated investment products | - | - | - | - | - | - | - | - | - | - | - | - | 126 | 1,614 |
| Third-party capital distributed by consolidated investment products | - | - | - | - | - | - | - | - | - | - | - | - | 745 | 1,621 |
| Proceeds from (Payments for) Other Financing Activities | - | - | 113 | 188 | -40 | -4 | - | - | - | -87 | -81 | -101 | -245 | -262 |
| Net cash flows (used for) from financing activities | 732 | -550 | 391 | -1,777 | 3,695 | - | - | - | -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 | - | - | - | - | - | - | - | 489 | 306 | 190 | -25 | 316 | 494 | -72 |
| Taxes paid | 434 | 438 | 218 | 349 | 469 | 662 | 736 | 503 | 912 | 902 | 1,298 | 1,242 | 1,465 | 1,662 |
| Interest paid | 204 | 240 | 253 | 264 | 259 | 642 | 644 | 621 | 512 | 524 | 492 | 552 | 553 | 599 |
| Market Risk Benefit, Change in Fair Value, Gain (Loss) | - | - | - | - | - | - | - | - | - | - | - | - | -307 | -140 |
| Net income | - | - | - | - | - | - | - | - | - | - | - | - | 9,015 | 9,640 |