CNA FINANCIAL CORPCNA

Market cap
$12.9B
P/E ratio
Dec 31,
2011
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 income6306289376914798598998131,0006901,2028941,205959
Deferred income tax (benefit) expense19214777------46-4947-342-45
Trading portfolio activity-12310-16-179-9-165-20-6-1-
Net investment losses---60-675093-5229-54120-199-99-81
Equity method investees-9789323-83-195-238-84-330-118127-2508101
Net amortization of investments645524-3-17274070896781129191200
Depreciation and amortization-1251018384778879686054517367
Receivables, net---44-731-82130-92229-1374091,358226245898
Accrued investment income17-49-134-193-16-329418
Deferred acquisition costs916-2-44-3118246264330798569
Insurance reserves-237430-68-363241237224823581,6812,4631,7911,6672,365
Other, net---------225-145-76-192-192420
Net cash flows provided by operating activities1,7021,2501,2041,4401,3871,4161,2541,2271,1401,7751,9972,5022,2852,571
Fixed maturity securities - sales7,5796,1236,8694,9144,3905,3285,4388,4085,8425,9043,8165,9094,0292,793
Fixed maturity securities - maturities, calls and redemptions3,0553,6993,2713,9834,0953,2193,6412,3702,9973,7604,4642,3581,3342,396
Equity securities----------316509317523
Limited partnerships-16510816717429019234347937324613816497
Mortgage loans-72257262072612814374190125122105
Fixed maturity securities12,16810,29911,1979,3658,6759,8279,06510,7858,66110,2699,3079,8216,6166,404
Equity securities----------304294293444
Limited partnerships-228223271188252171419198224440337402335
Mortgage loans---------1729520012789
Change in other investments-14122-221547-3-12-11-8-68-2-11
Change in short-term investments566-7425-38834258-6168-535-39-83155-274147
Purchases of property and equipment8494917112514610299262326529095
Other, net-3-16-11-16-21-2-20-18-15-16-1105-
Net cash flows used by investing activities-1,060-934-898-918-372-846-424-177-225-705-1,228-1,512-1,843-1,317
Dividends paid to common stockholders1081622165418118138428969299506219827871,025
Proceeds from the issuance of debt396--546-498496-496495--491490
Repayment of debt4517013549-358391180520419--243550
Purchase of treasury stock--------231818392420
Other, net-8-8-37254--18-9-12-10-9-11-14-12
Net cash flows used by financing activities-644-239-264-519-807-673-755-1,085-988-902-648-1,032-577-1,117
Effect of foreign exchange rate changes on cash--------59-4-195-10
Net change in cash---------68177117-61-130127