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For the quarter ending 2026-03-31, CNA has $68,559M in assets. $57,702M in debts.

Balance Sheets Overview

Debt to Asset Ratio
84.16%
Unit: Million (M) dollars
Assets Breakdown
    • Fixed maturity securities at fai...
    • Reinsurance receivables (less al...
    • Insurance receivables (less allo...
    • Others
Liabilities Breakdown
    • Future policy benefits
    • Retained earnings
    • Deferred non-insurance warranty ...
    • Others

Balance Sheets
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Fixed maturity securities at fair value (amortized cost of 45,060 and 44,668, less allowance for credit loss of 75 and 69)
43,230 43,402 43,702 42,799
Equity securities at fair value (cost of 764 and 728)
785 769 726 727
Limited partnership investments
2,823 2,772 2,713 2,667
Other invested assets
110 105 97 88
Mortgage loans (less allowance for credit loss of 15 and 15)
1,055 1,079 1,055 1,040
Short-term investments
1,499 2,320 2,243 1,727
Total investments
49,502 50,447 50,536 49,048
Cash
522 425 483 373
Reinsurance receivables (less allowance for uncollectible receivables of 32 and 27)
6,387 6,381 6,445 6,417
Insurance receivables (less allowance for uncollectible receivables of 25 and 25)
3,720 3,739 3,666 4,062
Accrued investment income
487 480 480 461
Deferred acquisition costs
1,008 986 985 1,021
Deferred income taxes
603 575 585 759
Property and equipment at cost (less accumulated depreciation of 354 and 346)
287 282 283 297
Goodwill
147 148 148 148
Deferred non-insurance warranty acquisition expense
3,098 3,220 3,340 3,441
Other assets
2,798 2,760 2,805 2,909
Total assets
68,559 69,443 69,756 68,936
Claim and claim adjustment expenses
26,933 26,599 26,525 26,203
Unearned premiums
7,646 7,635 7,578 7,890
Balance, september 30
--3,440 -
Balance, september 30
--16,986 -
Future policy benefits
13,195 13,448 13,546 13,329
Short-term debt
--500 500
Long-term debt
2,972 2,971 2,970 2,475
Deferred non-insurance warranty revenue
3,976 4,138 4,294 4,421
Other liabilities (includes 50 and 54 due to loews corporation)
2,980 3,031 3,021 3,457
Total liabilities
57,702 57,822 58,434 58,275
Common stock (2.50 par value 500,000,000 shares authorized 273,040,243 shares issued 270,528,685 and 270,671,747 shares outstanding)
683 683 683 683
Additional paid-in capital
2,195 2,229 2,220 2,213
Retained earnings
9,448 9,915 9,739 9,460
Accumulated other comprehensive loss
-1,349 -1,098 -1,211 -1,586
Treasury stock (2,511,558 and 2,368,496 shares), at cost
120 108 109 109
Total stockholders equity
10,857 11,621 11,322 10,661
Total liabilities and stockholders' equity
68,559 69,443 69,756 68,936
Unit: Million (M) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Balance Sheets

Fixed maturitysecurities at fair value...$43,230M Limited partnershipinvestments$2,823M Short-term investments$1,499M Mortgage loans (lessallowance for credit loss...$1,055M Equity securities atfair value (cost of...$785M Other invested assets$110M Total investments$49,502M Reinsurance receivables(less allowance for...$6,387M Insurance receivables(less allowance for...$3,720M Deferred non-insurancewarranty acquisition...$3,098M Other assets$2,798M Deferred acquisitioncosts$1,008M Deferred income taxes$603M Cash$522M Accrued investmentincome$487M Property and equipment atcost (less...$287M Goodwill$147M Total assets$68,559M Total liabilities andstockholders' equity$68,559M Total liabilities$57,702M Total stockholdersequity$10,857M Accumulated othercomprehensive loss-$1,349M Treasury stock(2,511,558 and 2,368,496...$120M Claim and claimadjustment expenses$26,933M Future policy benefits$13,195M Unearned premiums$7,646M Deferred non-insurancewarranty revenue$3,976M Other liabilities(includes 50 and 54 due to...$2,980M Long-term debt$2,972M Retained earnings$9,448M Additional paid-in capital$2,195M Common stock (2.50 parvalue 500,000,000...$683M

CNA FINANCIAL CORP (CNA)

CNA FINANCIAL CORP (CNA)