KEMPER CorpKMPR

Market cap
$3.9B
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
Net Loss185841032181158617121190531410-120-301-272
Net Loss1858410321811586--------272
Net Realized Gain on Sale of Investments--------264238654-19
Impairment Losses-----------1126-
Impairment Losses-------------1
Depreciation, Amortization and Accretion, Net---------3336465144
Amortization of Intangibles Acquired--------15630-542014
Settlement Costs Related to Defined Benefit Pension Plan-----------64---70
Contribution to Defined Benefit Pension Plan---------55----
Loss from Early Extinguishment of Debt------9----6---4-
Loss from Early Extinguishment of Debt------9----6---4-
Alternative Energy Partnership Investments------------61-203
Equity Method Limited Liability Investments-------------1
Alternative Energy Partnership Investments------------61-203
(Income) Loss from Change in Value of Alternative Energy Partnership Investments-0--------1----
Change in Accumulated Undistributed Earnings of Equity Method Limited Liability Investments----------43410-
(Increase) Decrease in Value of Equity and Convertible Securities---------6413972115-805
Alternative Energy Partnership Investments------------61-203
Equity Method Limited Liability Investments-------------1
Alternative Energy Partnership Investments------------61-203
(Income) Loss from Change in Value of Alternative Energy Partnership Investments-0--------1----
Goodwill impairment15------------50
(Increase) Decrease in Value of Equity and Convertible Securities---------6413972115-805
Receivables from Policyholders----------7775-129-326
Reinsurance Recoverables-----------17-212-12
Deferred Policy Acquisition Costs-229-00131633105675288-14-44
Insurance Reserves----------3862345-31
Unearned Premiums-46-12-15-52-62-96355512170106-183-403
Income Taxes-22-155811-22-629135947-163-8733
Other Assets and Liabilities19-30-33-36-16-32-12-9-3128-891133
Receivables from Policyholders----------7775-129-326
Reinsurance Recoverables-----------17-212-12
Deferred Policy Acquisition Costs-229-00131633105675288-14-44
Insurance Reserves----------3862345-31
Unearned Premiums-46-12-15-52-62-96355512170106-183-403
Income Taxes-22-155811-22-629135947-163-8733
Other Assets and Liabilities19-30-33-36-16-32-12-9-3128-891133
Net Cash (Used in) Provided by Operating Activities59-2566122134215241241539534448351-210-134
Net Cash (Used in) Provided by Operating Activities59-2566122134215241241539534448351-210-134
Proceeds from the Sales, Calls and Maturities of Fixed Maturities---------1,2299721,3891,296673
Equity Securities-----------317536149
Real Estate Investments100610318827--58--
Mortgage Loans---------1726719195
Other Investments--5631553341481430-485218
Fixed Maturities5326638737455536818507102,4131,2851,2931,8251,816447
Equity Securities-----------1245944
Real Estate Investments46652222211531
Corporate-Owned Life Insurance----3488--150100100110-
Mortgage Loans---------455312081104
Other Investments--3121213235284374-1051320
Net (Purchases) Sales of Short-term Investments-7-15580-4264-10518-39-53176391-687-6238
Acquisition of Business, Net of Cash Acquired-----58--561--317--
Sale of Reserve National, Net of Cash Disposed---49-------15-
Sale of Reserve National, Net of Cash Disposed---49-------15-
Acquisition of Software and Long-lived Assets---------8453583154
Acquisition of Software and Long-lived Assets---------8453583154
Proceeds from Life Insurance Policy-------------102
Other513933136333-55-13-17-821
Net Cash Provided by (Used in) Investing Activities319565-1065-104-29-238-105-498-633-757-118-108108
Repayments of Long-term Debt-----------50280-
Proceeds from Issuance of Long-Term Debt---------50396---
Proceeds from Issuance of Subordinated Long-Term Debt------------146-
Proceeds from (Repayments of) Secured Debt---------616467387336123
Repayment of Policyholder Contract Obligations---------384305394138169
Proceeds from Stock Plans---------24554
Common Stock Repurchases342761100114454---110162--
Dividends Paid---------6879818080
Other31112210-1-541-0
Net Cash (Used in) Provided by Financing Activities-404-406-114-157-20-101-48-205-12161378-290383-122
Net (decrease) increase in cash----------69-5864-148
Interest-------------55
Income taxes paid-------------107
Operating Leases-------------25
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability-------------14