TRAVELERS COMPANIES, INC.TRV

Market cap
$65.6B
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
Debt Securities, Available-for-Sale62,82064,23265,39363,95663,47460,65860,51562,69463,46468,13474,00377,81071,16077,80783,666
Equity Securities, FV-NI-----------893807608687
Real estate investments8388658839389389899289329049631,026979952959902
Short-term securities5,6163,5943,4833,8824,3644,6714,8654,8953,9904,9435,5103,8403,4705,1404,770
Other investments2,9293,4513,4343,4413,5863,4473,4483,5283,5573,4193,4303,8574,0654,2994,202
Total investments72,72272,70173,83873,16073,26170,47070,48872,50272,27877,88484,42387,37580,45488,81094,223
Cash200214330294374380307344373494721761799650699
Investment income accrued791768752734685642630606624618603615650688752
Premiums Receivable, Net5,4975,7305,8726,1256,2986,4376,7227,1447,5067,9097,8298,0858,92210,28211,110
Reinsurance Recoverable for Paid and Unpaid Claims and Claims Adjustments-----8,9108,2878,3098,3708,2358,3508,4508,0608,1408,000
Ceded unearned premiums8138288568016786565895515786897729021,0241,1501,202
Deferred acquisition costs1,7821,7861,7921,8041,8351,8491,9232,0252,1202,2732,3582,5422,8363,3063,494
Deferred taxes-----29646570445---1,8771,5041,762
Contractholder receivables-5,1864,8064,3284,3624,3744,6094,7754,7854,6194,2423,8903,5793,2493,171
Goodwill3,3653,3653,3653,6343,6113,5733,5803,9513,9373,9613,9764,0083,9523,9764,233
Other intangible assets-433381351304279268342345330317306287277360
Other assets2,1542,4022,2342,5652,3772,3182,3772,8642,8723,1103,1733,5303,2743,9434,183
Total assets105,181104,602104,938103,812103,078100,184100,245103,483104,233110,122116,764120,466115,717125,978133,189
Claims and claim adjustment expense reserves51,13151,41950,92250,89549,85048,29547,94949,65050,66851,84954,52156,90758,64961,62764,093
Unearned Premiums10,92111,10211,24111,85011,83911,97112,32912,91513,55514,60415,22216,46918,24020,87222,289
Contractholder payables5,3435,1864,8064,3284,3624,3744,6094,7754,7854,6194,2613,9113,5963,2693,189
Ceded Premiums Payable-----296273274289363356384419518550
Debt-----6,3446,4376,5716,5646,5586,5507,2907,2928,0318,033
Other liabilities5,2935,4245,5305,2995,5065,3065,4275,5675,4786,0496,0956,3295,9616,7407,171
Total liabilities79,70680,12579,53379,01678,24276,58677,02479,75281,33984,17987,56391,57994,157101,057105,325
Common Stock, Value, Outstanding--21,16121,50021,84322,17222,61422,88623,14423,46923,74324,15424,56524,90625,452
Retained earnings18,84719,57921,35224,29127,25129,94532,19633,46235,20436,97738,77141,55543,51645,59149,630
Accumulated other comprehensive loss1,2552,0052,236810880-157-755-343-1,8596402,5021,193-6,445-4,471-4,967
Treasury stock, at cost (564.3 and 559.2 shares)--------------42,251
Total shareholders’ equity25,47524,47725,40524,79624,83623,59823,22123,73122,89425,94329,20128,88721,56024,92127,864
Total liabilities and shareholders’ equity105,181104,602104,938103,812103,078100,184100,245103,483104,233110,122116,764120,466115,717125,978133,189