Revenue
Cost
Profit
| Item | Category | Value | YoY |
|---|---|---|---|
| Total revenues | revenue | 2.86B | 11.57% |
| Income (loss) before income taxes | profit | 326.00M | 354.69% |
| Total benefits and expenses | cost | 2.54B | -5.83% |
| Net income (loss) | profit | 274.00M | 404.44% |
| Deferred | cost | 82.00M | -21.50% |
| Total provision (benefit) for income taxes | cost | 52.00M | 2.37% |
| Insurance losses and contract holders' benefits | cost | 1.75B | -11.03% |
| Underwriting, acquisition and insurance expenses | cost | 764.00M | 8.83% |
| Interest expense | cost | 13.00M | 0.00% |
| Other cost and expense, operating | cost | 9.00M | -18.18% |
| Current | cost | 134.00M | 4.19% |
| Segment | Value | YoY |
|---|---|---|
| Commercial Lines Insurance | 1.24B | 5.17% |
| Personal Lines Insurance | 875.00M | 25.18% |
| Investment Segment of CINF | 248.00M | 16.43% |
| Excess and Surplus Lines Insurance | 181.00M | 11.04% |
| Life Insurance | 86.00M | 6.17% |
| Others | 231.00M | 0.87% |
| Item | Category | Value | YoY |
|---|---|---|---|
| Fixed maturities, at fair value | assets | 18.55B | |
| Equity securities, at fair value (cost: 2026—$4,426; 2025—$4,155) | assets | 12.57B | |
| Other invested assets | assets | 838.00M | |
| Short-term investments, at fair value (amortized cost: 2026—$49; 2025—$148) | assets | 49.00M | |
| Total investments | assets | 32.00B | |
| Premiums receivable | assets | 3.32B | |
| Deferred policy acquisition costs | assets | 1.38B | |
| Cash and cash equivalents | assets | 1.21B | |
| Separate accounts | assets | 988.00M | |
| Other assets | assets | 982.00M | |
| Reinsurance recoverable | assets | 627.00M | |
| Investment income receivable | assets | 247.00M | |
| Land, building and equipment, net, for company use (accumulated depreciation: 2026—$373; 2025—$367) | assets | 214.00M | |
| Finance receivable | assets | 142.00M | |
| Prepaid reinsurance premiums | assets | 95.00M | |
| Total assets | assets | 41.21B | |
| Total liabilities | liabilities | 25.50B | |
| Total shareholders' equity | equity | 15.71B | |
| Treasury stock, value | equity | 2.91B | |
| Accumulated other comprehensive loss | equity | 185.00M | |
| Reserve for loss and loss expenses | liabilities | 11.96B | |
| Unearned premiums | liabilities | 5.42B | |
| Net life policy reserves | liabilities | 2.96B | |
| Deferred income tax | liabilities | 1.71B | |
| Other liabilities | liabilities | 1.57B | |
| Separate accounts | liabilities | 988.00M | |
| Long-term debt and lease obligations | liabilities | 859.00M | |
| Note payable | liabilities | 25.00M | |
| Aggregate | equity | 18.81B | |
| Retained earnings | equity | 16.85B | |
| Paid-in capital | equity | 1.56B | |
| Common stock, par value—$2 per share; (authorized: 2026 and 2025—500 million shares; issued: 2026 and 2025—198.3 million shares) | equity | 397.00M |
| Item | Value |
|---|---|
| Loss and loss expense reserves | 452.00M |
| Net income (loss) | 274.00M |
| Unearned premiums | 170.00M |
| Increase (decrease) in deferred income taxes | 113.00M |
| Gain (loss) on sale of investments | 75.00M |
| Depreciation, amortization and other | 40.00M |
| Life policy and investment contract reserves | 18.00M |
| Interest credited to contract holders | 11.00M |
| Increase (decrease) in other operating assets | -13.00M |
| Increase (decrease) in deferred policy acquisition costs | -40.00M |
| Deferred | -82.00M |
| Increase (decrease ) in premiums and reinsurance receivable | -175.00M |
| Other liabilities | -187.00M |
| Item | Value |
|---|---|
| Sale, call or maturity of fixed maturities | 1.00B |
| Sale of equity securities | 454.00M |
| Change in short-term investments | 101.00M |
| Payments to acquire (proceeds from sale and collection of) finance receivables | 3.00M |
| Payments to acquire property, plant, and equipment | -2.00M |
| Payment for (proceeds from) other investing activity | -25.00M |
| Payments to acquire equity securities, fv-ni | -400.00M |
| Payments to acquire debt securities, available-for-sale | -1.63B |
| Item | Value |
|---|---|
| Contract holders' funds deposited | 16.00M |
| Proceeds from stock options exercised | 5.00M |
| Withdrawal from contract holders funds | -39.00M |
| Other | -54.00M |
| Payments of ordinary dividends, common stock | -133.00M |
| Payments for repurchase of common stock | -179.00M |
| Item | Value |
|---|---|
| Cash and cash equivalents, beginning of period | 1.43B |
| Cash and cash equivalents, end of period | 1.21B |
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