CNO Financial Group, Inc.CNO

Market cap
$4.1B
P/E ratio
Dec 31,
2010
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
Insurance policy income2,3592,3832,4202,4652,4082,4232,4572,4832,4332,3262,3312,3422,3002,2852,348
Net investment income1,3051,4191,3861,3881,2791,2061,2011,2301,3211,1221,0971,0731,1551,3291,415
Proceeds from Fees Received171820345159514862133124143149205169
Insurance policy benefits-1,975-2,045-2,096-2,0941,9681,8791,9161,9731,9111,6301,5831,6611,6361,6111,604
Interest expense-----------93121233259
Deferrable policy acquisition costs-418429192223243246243236262289276299332378446
Other operating costs-445472787746729724751741789817818926986956940
Income taxes----------228-20345955
Net cash provided by operating activities734775635720122744760613318697736598495583628
Sales of investments8,6335,5052,0582,3162,0902,1782,8422,4873,2102,8991,4801,8243,2541,3893,240
Maturities and redemptions of investments8941,0941,9672,4921,6181,8532,5073,3252,4692,2382,2182,8801,5511,3972,175
Purchases of investments10,7398,1564,2715,3673,7324,7676,1606,1416,2065,5764,2816,1356,4823,5926,803
Net purchases of trading securities------------19-42-29-87
Other1533322328252330251024075613714
Net cash used by investing activities-1,299-1,338-197-60256-1,070-742-240-526-556-608-1,526-1,781-872-1,489
Proceeds from Notes Payable756-945--910---494146---691
Issuance of common stock-23155688491922141311
Payments to repurchase common stock-70180118---168108255268408190166300
Common stock dividends paid--14245152556065676766656868
Amounts received for deposit products1,7301,6941,2971,2981,2951,2421,3871,4461,5891,7431,6202,4053,0232,1123,932
Withdrawals from deposit products1,7041,6641,5451,4641,3471,2251,1821,2331,3121,3641,2361,3531,4611,6961,962
Proceeds from financing arrangements-------------80-
Payments on financing arrangements-------------614
Federal Home Loan Bank-717375500350475433432150537498796285996612
Related to variable interest entities-236247376359545493982278-----276
Federal Home Loan Bank-267375251368426334433151538500722361446613
Related to variable interest entities and other-1011132891325151,2492772722544285597
Net cash provided by financing activities613427-291-1-26514630-274107-1432106681,1995341,970
Net increase (decrease) in cash and cash equivalents----------2337-260-872441,109