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Net income$10,622M (10.19%↑ Y/Y)Unpaid losses and lossexpenses$2,706M (-40.75%↓ Y/Y)Future policy benefits$2,186M (18.74%↑ Y/Y)Unearned premiums$2,098M (16.23%↑ Y/Y)Deferred income taxes-$330M (-243.75%↓ Y/Y)Amortization of purchasedintangibles$301M (-6.81%↓ Y/Y)Market risk benefit,change in fair value,...-$288M (-105.71%↓ Y/Y)Insurance and reinsurancebalances payable$131M (224.76%↑ Y/Y)Accounts payable,accrued expenses, and...$53M (-84.50%↓ Y/Y)Other-$16M (98.84%↑ Y/Y)Net cash provided by(used) in operating...$12,816M (-20.80%↓ Y/Y)Effect of foreigncurrency rate changes on...$215M (243.33%↑ Y/Y)Canceled cashflow$5,915M Cash, cashequivalents, restricted cash...-$79M (-9.72%↓ Y/Y)Canceled cashflow$13,031M Maturities and redemptionsof fixed...$12,675M (17.25%↑ Y/Y)Sales of fixedmaturities...$12,231M (-4.56%↓ Y/Y)Sales of equitysecurities$2,807M (-6.31%↓ Y/Y)Private equitydistributions$1,721M (23.19%↑ Y/Y)Net change inshort-term investments-$462M (-160.55%↓ Y/Y)Proceeds from issuance ofrepurchase agreements$6,297M (39.78%↑ Y/Y)Third-party capitalinvested into...$2,556M (58.36%↑ Y/Y)Proceeds from issuance oflong-term debt$2,424M (0.66%↑ Y/Y)Policyholder contractdeposits$853M (-16.70%↓ Y/Y)Proceeds fromshare-based compensation...$327M (-8.15%↓ Y/Y)Deferred policyacquisition costs$1,566M (9.59%↑ Y/Y)Insurance and reinsurancebalances receivable$1,167M (-8.69%↓ Y/Y)Equity in net income ofsubsidiaries and affiliates$1,143M (18.20%↑ Y/Y)Net sales ofinvestments by consolidated...-$1,090M (-492.09%↓ Y/Y)Accretion (amortization)of discounts and...$409M (11.44%↑ Y/Y)Net realized gainslosses$211M (80.34%↑ Y/Y)Reinsurance recoverable$169M (463.33%↑ Y/Y)Income taxes-$160M (-331.88%↓ Y/Y)Cash provided by(used in) investing...-$11,260M (19.13%↑ Y/Y)Canceled cashflow$29,896M Net cash flows (usedfor) from financing...-$1,850M (15.18%↑ Y/Y)Canceled cashflow$12,457M Purchases of fixedmaturities...$34,157M (1.18%↑ Y/Y)Private equitycontributions$3,014M (181.68%↑ Y/Y)Purchases of equitysecurities$2,799M (-35.40%↓ Y/Y)Other$712M (-49.58%↓ Y/Y)Acquisition of subsidiaries(net of cash acquired...$289M (-46.28%↓ Y/Y)Net derivativeinstruments settlements$185M (98.92%↑ Y/Y)Repayment of repurchaseagreements$5,693M (18.06%↑ Y/Y)Common sharesrepurchased$3,694M (105.11%↑ Y/Y)Third-party capitaldistributed by consolidated...$1,753M (8.14%↑ Y/Y)Dividends paid on commonshares$1,505M (4.81%↑ Y/Y)Repayments of long-termdebt$800M (-44.33%↓ Y/Y)Policyholder contractwithdrawals$594M (-16.22%↓ Y/Y)Tax withholdingpayments for share-based...-$268M (-2.29%↓ Y/Y)
Cash Flow
source: myfinsight.com
2020-Chubb-Annual-Report-1-pdf-svg copy-svg

Chubb Ltd (CB)

2020-Chubb-Annual-Report-1-pdf-svg copy-svg

Chubb Ltd (CB)