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CNA CNA Financial

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  • 44.040
  • -0.550-1.23%
Close May 23 16:00 ET
  • 44.040
  • 0.0000.00%
Post 16:20 ET
11.95BMarket Cap9.62P/E (TTM)

CNA Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Total investments
6.02%46.67B
7.84%46.56B
7.84%46.56B
3.58%43.65B
0.35%44.44B
-6.54%44.02B
-14.21%43.18B
-14.21%43.18B
-16.12%42.14B
-11.91%44.28B
-Fixed maturity investments
----
----
----
----
----
----
----
----
-17.35%37.25B
-12.30%39.39B
-Equity investments
5,778.15%40.09B
1.34%683M
1.34%683M
4,103.14%37.45B
4,180.51%38.44B
-30.48%682M
-34.88%674M
-34.88%674M
-14.74%891M
-13.07%898M
-Trading assets
----
----
----
--2M
----
----
----
----
----
----
-Net loan
2.29%1.03B
-0.48%1.04B
-0.48%1.04B
4.41%995M
6.32%1.01B
6.79%1.01B
6.89%1.04B
6.89%1.04B
-7.57%953M
-5.67%949M
-Investments in other ventures under equity method
14.73%2.27B
12.88%2.17B
12.88%2.17B
9.45%2.07B
8.43%2.02B
7.72%1.98B
3.60%1.93B
3.60%1.93B
1.12%1.9B
4.60%1.86B
-Short term investments
-92.05%3.2B
7.93%42.59B
7.93%42.59B
184.64%3.06B
159.96%2.9B
2,995.62%40.27B
1,882.86%39.46B
1,882.86%39.46B
-5.37%1.07B
-23.96%1.11B
-Other invested assets
0.00%79M
2.56%80M
2.56%80M
-5.48%69M
0.00%71M
-18.56%79M
-14.29%78M
-14.29%78M
-10.98%73M
1.43%71M
Cash and cash equivalents
-15.32%409M
-27.37%345M
-27.37%345M
-3.58%485M
-36.07%358M
33.80%483M
-11.38%475M
-11.38%475M
-19.52%503M
21.21%560M
Receivables
4.60%9.01B
3.27%8.85B
3.27%8.85B
-0.32%8.66B
1.55%9.1B
2.54%8.61B
1.97%8.57B
1.97%8.57B
6.88%8.69B
9.95%8.96B
-Accounts receivable
4.60%9.01B
3.27%8.85B
3.27%8.85B
-0.32%8.66B
1.55%9.1B
2.54%8.61B
1.97%8.57B
1.97%8.57B
6.88%8.69B
9.95%8.96B
Accrued investment income
7.71%447M
10.45%444M
10.45%444M
7.30%441M
10.99%424M
4.27%415M
6.63%402M
6.63%402M
3.53%411M
-0.26%382M
Deferred policy acquisition costs
8.80%927M
11.17%896M
11.17%896M
11.82%880M
11.74%885M
11.23%852M
9.36%806M
9.36%806M
9.15%787M
9.85%792M
Deferred assets
-1.36%3.62B
-0.27%3.66B
-0.27%3.66B
0.96%3.69B
2.67%3.69B
4.77%3.67B
5.61%3.67B
5.61%3.67B
6.88%3.65B
8.71%3.59B
Net PPE
10.34%256M
11.95%253M
11.95%253M
12.23%257M
8.37%246M
3.11%232M
0.00%226M
0.00%226M
-2.14%229M
-2.99%227M
Goodwill and other intangible assets
0.69%146M
4.19%224M
4.19%224M
2.11%145M
0.69%146M
-1.36%145M
0.00%215M
0.00%215M
-4.05%142M
-2.03%145M
-Goodwill
0.69%146M
1.39%146M
1.39%146M
2.11%145M
0.69%146M
-1.36%145M
-2.70%144M
-2.70%144M
-4.05%142M
-2.03%145M
-Other intangible assets
----
9.86%78M
9.86%78M
----
----
----
5.97%71M
5.97%71M
----
----
Other assets
7.30%2.65B
11.48%2.46B
11.48%2.46B
4.43%2.47B
10.25%2.6B
5.38%2.47B
0.41%2.2B
0.41%2.2B
-4.51%2.37B
-2.32%2.36B
Total assets
4.87%65.08B
6.08%64.71B
6.08%64.71B
2.88%61.95B
1.38%63.09B
-2.72%62.06B
-8.46%61B
-8.46%61B
-9.48%60.22B
-6.01%62.23B
Liabilities
Policy holders liabilities reserve
2.75%44.15B
5.29%44.2B
5.29%44.2B
2.25%42.28B
4.00%43.45B
1.75%42.97B
-2.77%41.97B
-2.77%41.97B
-2.95%41.35B
-1.38%41.77B
Short term debt and capital lease obligation
126.34%550M
--550M
--550M
--793M
--792M
--243M
--0
--0
----
----
-Current debt
126.34%550M
--550M
--550M
--793M
--792M
--243M
--0
--0
----
----
Long term debt and capital lease obligation
16.98%2.97B
-10.79%2.48B
-10.79%2.48B
-10.79%2.48B
-14.24%2.38B
-8.64%2.54B
0.07%2.78B
0.07%2.78B
0.07%2.78B
0.11%2.78B
-Long term debt
16.98%2.97B
-10.79%2.48B
-10.79%2.48B
-10.79%2.48B
-14.24%2.38B
-8.64%2.54B
0.07%2.78B
0.07%2.78B
0.07%2.78B
0.11%2.78B
Non current deferred liabilities
-1.38%4.65B
-0.42%4.69B
-0.42%4.69B
0.64%4.74B
2.09%4.74B
4.02%4.71B
4.69%4.71B
4.69%4.71B
5.92%4.71B
7.64%4.64B
Other liabilities
5.84%3.1B
-2.88%2.9B
-2.88%2.9B
-5.63%3.1B
-14.75%3.01B
-14.83%2.93B
-11.67%2.98B
-11.67%2.98B
-18.46%3.29B
-13.94%3.53B
Total liabilities
3.79%55.41B
4.51%54.82B
4.51%54.82B
2.43%53.39B
3.12%54.36B
0.78%53.39B
-2.56%52.45B
-2.56%52.45B
-3.23%52.12B
-1.54%52.72B
Shareholders'equity
Share capital
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
-common stock
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
0.00%683M
Paid-in capital
0.23%2.2B
0.05%2.22B
0.05%2.22B
0.09%2.21B
0.05%2.2B
0.05%2.2B
0.23%2.22B
0.23%2.22B
0.14%2.21B
0.09%2.2B
Retained earnings
2.55%9.43B
4.49%9.76B
4.49%9.76B
0.74%9.5B
-0.59%9.36B
-1.37%9.19B
-3.38%9.34B
-3.38%9.34B
-0.71%9.43B
0.72%9.42B
Gains losses not affecting retained earnings
22.25%-2.57B
25.74%-2.67B
25.74%-2.67B
9.62%-3.74B
-26.24%-3.43B
-153.88%-3.31B
-1,224.38%-3.6B
-1,224.38%-3.6B
-1,296.24%-4.14B
-633.01%-2.71B
Less: Treasury stock
-21.05%75M
1.08%94M
1.08%94M
1.06%95M
25.00%95M
23.38%95M
29.17%93M
29.17%93M
28.77%94M
4.11%76M
Total stockholders'equity
11.48%9.66B
15.73%9.89B
15.73%9.89B
5.79%8.56B
-8.26%8.73B
-19.88%8.67B
-33.27%8.55B
-33.27%8.55B
-36.09%8.09B
-24.91%9.51B
Total equity
11.48%9.66B
15.73%9.89B
15.73%9.89B
5.79%8.56B
-8.26%8.73B
-19.88%8.67B
-33.27%8.55B
-33.27%8.55B
-36.09%8.09B
-24.91%9.51B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Total investments 6.02%46.67B7.84%46.56B7.84%46.56B3.58%43.65B0.35%44.44B-6.54%44.02B-14.21%43.18B-14.21%43.18B-16.12%42.14B-11.91%44.28B
-Fixed maturity investments ---------------------------------17.35%37.25B-12.30%39.39B
-Equity investments 5,778.15%40.09B1.34%683M1.34%683M4,103.14%37.45B4,180.51%38.44B-30.48%682M-34.88%674M-34.88%674M-14.74%891M-13.07%898M
-Trading assets --------------2M------------------------
-Net loan 2.29%1.03B-0.48%1.04B-0.48%1.04B4.41%995M6.32%1.01B6.79%1.01B6.89%1.04B6.89%1.04B-7.57%953M-5.67%949M
-Investments in other ventures under equity method 14.73%2.27B12.88%2.17B12.88%2.17B9.45%2.07B8.43%2.02B7.72%1.98B3.60%1.93B3.60%1.93B1.12%1.9B4.60%1.86B
-Short term investments -92.05%3.2B7.93%42.59B7.93%42.59B184.64%3.06B159.96%2.9B2,995.62%40.27B1,882.86%39.46B1,882.86%39.46B-5.37%1.07B-23.96%1.11B
-Other invested assets 0.00%79M2.56%80M2.56%80M-5.48%69M0.00%71M-18.56%79M-14.29%78M-14.29%78M-10.98%73M1.43%71M
Cash and cash equivalents -15.32%409M-27.37%345M-27.37%345M-3.58%485M-36.07%358M33.80%483M-11.38%475M-11.38%475M-19.52%503M21.21%560M
Receivables 4.60%9.01B3.27%8.85B3.27%8.85B-0.32%8.66B1.55%9.1B2.54%8.61B1.97%8.57B1.97%8.57B6.88%8.69B9.95%8.96B
-Accounts receivable 4.60%9.01B3.27%8.85B3.27%8.85B-0.32%8.66B1.55%9.1B2.54%8.61B1.97%8.57B1.97%8.57B6.88%8.69B9.95%8.96B
Accrued investment income 7.71%447M10.45%444M10.45%444M7.30%441M10.99%424M4.27%415M6.63%402M6.63%402M3.53%411M-0.26%382M
Deferred policy acquisition costs 8.80%927M11.17%896M11.17%896M11.82%880M11.74%885M11.23%852M9.36%806M9.36%806M9.15%787M9.85%792M
Deferred assets -1.36%3.62B-0.27%3.66B-0.27%3.66B0.96%3.69B2.67%3.69B4.77%3.67B5.61%3.67B5.61%3.67B6.88%3.65B8.71%3.59B
Net PPE 10.34%256M11.95%253M11.95%253M12.23%257M8.37%246M3.11%232M0.00%226M0.00%226M-2.14%229M-2.99%227M
Goodwill and other intangible assets 0.69%146M4.19%224M4.19%224M2.11%145M0.69%146M-1.36%145M0.00%215M0.00%215M-4.05%142M-2.03%145M
-Goodwill 0.69%146M1.39%146M1.39%146M2.11%145M0.69%146M-1.36%145M-2.70%144M-2.70%144M-4.05%142M-2.03%145M
-Other intangible assets ----9.86%78M9.86%78M------------5.97%71M5.97%71M--------
Other assets 7.30%2.65B11.48%2.46B11.48%2.46B4.43%2.47B10.25%2.6B5.38%2.47B0.41%2.2B0.41%2.2B-4.51%2.37B-2.32%2.36B
Total assets 4.87%65.08B6.08%64.71B6.08%64.71B2.88%61.95B1.38%63.09B-2.72%62.06B-8.46%61B-8.46%61B-9.48%60.22B-6.01%62.23B
Liabilities
Policy holders liabilities reserve 2.75%44.15B5.29%44.2B5.29%44.2B2.25%42.28B4.00%43.45B1.75%42.97B-2.77%41.97B-2.77%41.97B-2.95%41.35B-1.38%41.77B
Short term debt and capital lease obligation 126.34%550M--550M--550M--793M--792M--243M--0--0--------
-Current debt 126.34%550M--550M--550M--793M--792M--243M--0--0--------
Long term debt and capital lease obligation 16.98%2.97B-10.79%2.48B-10.79%2.48B-10.79%2.48B-14.24%2.38B-8.64%2.54B0.07%2.78B0.07%2.78B0.07%2.78B0.11%2.78B
-Long term debt 16.98%2.97B-10.79%2.48B-10.79%2.48B-10.79%2.48B-14.24%2.38B-8.64%2.54B0.07%2.78B0.07%2.78B0.07%2.78B0.11%2.78B
Non current deferred liabilities -1.38%4.65B-0.42%4.69B-0.42%4.69B0.64%4.74B2.09%4.74B4.02%4.71B4.69%4.71B4.69%4.71B5.92%4.71B7.64%4.64B
Other liabilities 5.84%3.1B-2.88%2.9B-2.88%2.9B-5.63%3.1B-14.75%3.01B-14.83%2.93B-11.67%2.98B-11.67%2.98B-18.46%3.29B-13.94%3.53B
Total liabilities 3.79%55.41B4.51%54.82B4.51%54.82B2.43%53.39B3.12%54.36B0.78%53.39B-2.56%52.45B-2.56%52.45B-3.23%52.12B-1.54%52.72B
Shareholders'equity
Share capital 0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M
-common stock 0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M0.00%683M
Paid-in capital 0.23%2.2B0.05%2.22B0.05%2.22B0.09%2.21B0.05%2.2B0.05%2.2B0.23%2.22B0.23%2.22B0.14%2.21B0.09%2.2B
Retained earnings 2.55%9.43B4.49%9.76B4.49%9.76B0.74%9.5B-0.59%9.36B-1.37%9.19B-3.38%9.34B-3.38%9.34B-0.71%9.43B0.72%9.42B
Gains losses not affecting retained earnings 22.25%-2.57B25.74%-2.67B25.74%-2.67B9.62%-3.74B-26.24%-3.43B-153.88%-3.31B-1,224.38%-3.6B-1,224.38%-3.6B-1,296.24%-4.14B-633.01%-2.71B
Less: Treasury stock -21.05%75M1.08%94M1.08%94M1.06%95M25.00%95M23.38%95M29.17%93M29.17%93M28.77%94M4.11%76M
Total stockholders'equity 11.48%9.66B15.73%9.89B15.73%9.89B5.79%8.56B-8.26%8.73B-19.88%8.67B-33.27%8.55B-33.27%8.55B-36.09%8.09B-24.91%9.51B
Total equity 11.48%9.66B15.73%9.89B15.73%9.89B5.79%8.56B-8.26%8.73B-19.88%8.67B-33.27%8.55B-33.27%8.55B-36.09%8.09B-24.91%9.51B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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