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CINCINNATI FINANCIAL CORP (CINF)

Balance Sheet

Standardized | As Reported Annual | Quarterly
  Older >>
In millions, except per share itemsDec-31-22Dec-31-21Dec-31-20Dec-31-19Dec-31-18Dec-31-17Dec-31-16Dec-31-15
   10-K10-K10-K10-K10-K10-K10-K10-K
Assets          
Investments          
Fixed maturities, at fair value (amortized cost: 2023—$13,708; 2022—$12,979)  12,132.013,022.012,338.011,698.010,689.010,699.010,085.09,650.0
Other invested assets  452.0329.0348.0296.0123.0103.081.067.0
    Total investments  22,425.024,666.021,542.019,746.016,732.017,051.015,500.014,423.0
Cash and cash equivalents   1,139.0900.0767.0784.0657.0777.0544.0
Investment income receivable  160.0144.0136.0133.0132.0134.0134.0129.0
Finance receivable  92.098.095.077.071.061.051.062.0
Premiums receivable  2,322.02,053.01,879.01,777.01,644.01,589.01,533.01,431.0
Reinsurance recoverable  640.0570.0517.0610.0    
Prepaid reinsurance premiums  79.078.065.054.044.042.062.054.0
Deferred policy acquisition costs  1,014.0905.0805.0774.0738.0670.0637.0616.0
Land, building and equipment, net, for company use  202.0205.0213.0207.0195.0185.0183.0185.0
Other assets  646.0570.0438.0381.0308.0216.0198.0154.0
Separate accounts  892.0959.0952.0882.0803.0806.0  
    Total assets  29,736.031,387.027,542.025,408.021,935.021,843.020,386.018,888.0
   
Liabilities          
Insurance reserves          
Loss and loss expense reserves  8,400.07,305.06,746.06,147.05,707.05,273.05,085.04,718.0
Life policy and investment contract reserves  3,059.03,014.02,915.02,835.02,779.02,729.02,671.02,583.0
Unearned premiums  3,689.03,271.02,960.02,788.02,516.02,404.02,307.02,201.0
Other liabilities  1,229.01,092.0982.0928.0804.0792.0786.0717.0
   
Deferred income tax          
Note payable  50.054.054.039.032.024.020.0 
Long-term debt and lease obligations  841.0843.0845.0846.0834.0827.0826.0821.0
Separate accounts  892.0959.0952.0882.0803.0806.0766.0748.0
    Total liabilities  19,205.018,282.016,753.015,544.014,102.013,600.013,326.012,461.0
   
Commitments and contingent liabilities (Note 12)          
Shareholders' Equity          
Common stock  397.0397.0397.0397.0397.0397.0397.0397.0
Paid-in capital  1,392.01,356.01,328.01,306.01,281.01,265.01,252.01,232.0
Retained earnings  11,702.012,625.010,085.09,257.07,625.05,180.05,037.04,762.0
Accumulated other comprehensive income  -636.0648.0769.0448.022.02,788.01,693.01,344.0
Treasury stock at cost (2023—41.5 million shares and 2022—41.2 million shares)  -2,324.0-1,921.0-1,790.0-1,544.0-1,492.0-1,387.0-1,319.0-1,308.0
    Total shareholders' equity  10,531.013,105.010,789.09,864.07,833.08,243.07,060.06,427.0
    Total liabilities and shareholders' equity  29,736.031,387.027,542.025,408.021,935.021,843.020,386.018,888.0

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