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Net income
$2,882M
(-3.90%↓ Y/Y)
Unearned premiums
$1,375M
(-12.86%↓ Y/Y)
Unpaid losses and loss
expenses
$893M
(2026.19%↑ Y/Y)
Insurance and reinsurance
balances payable
$859M
(20.48%↑ Y/Y)
Future policy benefits
$809M
(9.62%↑ Y/Y)
Net sales
(purchases) of investments...
-$254M
(20.63%↑ Y/Y)
Deferred income taxes
-$174M
(4.40%↑ Y/Y)
Accounts payable,
accrued expenses, and...
$108M
(-81.28%↓ Y/Y)
Amortization of purchased
intangibles
$74M
(0.00%↑ Y/Y)
Net cash flows from
operating activities
$3,730M
(5.04%↑ Y/Y)
Canceled cashflow
$3,698M
Net increase
(decrease) in cash and...
$119M
(-1.65%↓ Y/Y)
Canceled cashflow
$3,611M
Insurance and reinsurance
balances receivable
$1,979M
(63.01%↑ Y/Y)
Other
$623M
(-57.45%↓ Y/Y)
Deferred policy
acquisition costs
$374M
(-15.38%↓ Y/Y)
Reinsurance recoverable
$186M
(129.95%↑ Y/Y)
Net realized
(gains) losses
$162M
(1.25%↑ Y/Y)
Income taxes
-$132M
(52.35%↑ Y/Y)
Equity in net income
(loss) of...
$124M
(-81.13%↓ Y/Y)
Amortization of premiums
(discounts) on fixed...
$113M
(17.71%↑ Y/Y)
Market risk benefits
gains (losses)
$5M
(129.41%↑ Y/Y)
Maturities and redemptions
of fixed...
$3,851M
(45.87%↑ Y/Y)
Sales of fixed
maturities...
$3,768M
(43.16%↑ Y/Y)
Sales of equity
securities
$844M
(9.18%↑ Y/Y)
Private equity
distributions
$485M
(-7.09%↓ Y/Y)
Proceeds from issuance of
long-term debt
$2,162M
(768.27%↑ Y/Y)
Proceeds from issuance of
repurchase agreements
$1,605M
(3.02%↑ Y/Y)
Policyholder contract
deposits
$284M
(35.24%↑ Y/Y)
Third-party capital
invested into...
$278M
(-46.23%↓ Y/Y)
Proceeds from
share-based compensation...
$77M
(-15.38%↓ Y/Y)
Net cash flows used
for investing...
-$2,342M
(17.16%↑ Y/Y)
Net cash flows used
for financing...
-$1,269M
(-66.54%↓ Y/Y)
Canceled cashflow
$8,948M
Canceled cashflow
$4,406M
Purchases of fixed
maturities...
$9,501M
(20.10%↑ Y/Y)
Repayment of repurchase
agreements
$1,919M
(18.09%↑ Y/Y)
Purchases of equity
securities
$620M
(-1.59%↓ Y/Y)
Private equity
contributions
$427M
(-33.59%↓ Y/Y)
Net change in
short-term investments
$347M
(3755.56%↑ Y/Y)
Other
$274M
(302.96%↑ Y/Y)
Net derivative
instruments settlements
$96M
(113.33%↑ Y/Y)
Acquisition of subsidiaries
(net of cash acquired...
$25M
(-91.35%↓ Y/Y)
Repayment of long-term
debt
$1,500M
Common shares
repurchased
$1,062M
(42.36%↑ Y/Y)
Third-party capital
distributed by consolidated...
$571M
(31.26%↑ Y/Y)
Dividends paid on common
shares
$379M
(3.84%↑ Y/Y)
Policyholder contract
withdrawals
$146M
(8.15%↑ Y/Y)
Other
-$98M
(-20.99%↓ Y/Y)
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Cash Flow
2020-Chubb-Annual-Report-1-pdf-svg copy-svg
Chubb Ltd (CB)
2020-Chubb-Annual-Report-1-pdf-svg copy-svg
Chubb Ltd (CB)
source: myfinsight.com