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CB Chubb Ltd

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  • 285.480
  • +3.790+1.35%
Close Feb 28 16:00 ET
  • 285.480
  • 0.0000.00%
Post 20:01 ET
114.31BMarket Cap12.58P/E (TTM)

Chubb Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
28.10%16.18B
43.28%4.57B
-7.74%4.32B
62.19%4.08B
43.05%3.22B
12.20%12.63B
19.86%3.19B
36.28%4.68B
-7.60%2.52B
-7.90%2.25B
Net income from continuing operations
6.93%9.64B
-19.76%2.64B
22.06%2.49B
23.59%2.22B
21.25%2.29B
71.85%9.02B
150.95%3.29B
157.58%2.04B
50.67%1.79B
-3.12%1.89B
Operating gains losses
-886.61%-999M
-114.81%-52M
-1,477.78%-710M
125.19%295M
-71.61%-532M
-87.67%127M
-31.84%351M
-112.86%-45M
-76.23%131M
19.69%-310M
Deferred tax
108.54%96M
95.36%-54M
575.00%19M
355.88%155M
-366.67%-24M
-453.46%-1.12B
-542.21%-1.16B
92.45%-4M
100.00%34M
-90.11%9M
Other non cash items
-28.79%1.51B
-5.95%1.11B
-49.43%399M
-1,200.00%-154M
10.88%163M
199.86%2.13B
32.28%1.18B
283.01%789M
105.43%14M
214.84%147M
Change in working capital
155.50%5.78B
266.37%747M
18.06%2.2B
252.48%1.57B
212.25%1.27B
-33.97%2.26B
-112.80%-449M
2.42%1.86B
-58.50%444M
-45.74%408M
-Change in receivables
16.69%-1.31B
94.50%848M
99.76%-1M
-33.83%-2.42B
20.91%266M
35.47%-1.57B
-62.83%436M
70.30%-417M
-10.78%-1.81B
138.66%220M
-Change in loss and loss adjustment expense reserves
48.40%6.41B
60.46%767M
-19.77%2.35B
238.23%2.67B
408.20%620M
-5.97%4.32B
244.85%478M
1.88%2.93B
-28.44%790M
-87.08%122M
-Change in deferred acquisition costs
-29.91%-1.43B
-7.09%-287M
-20.98%-346M
-39.04%-406M
-53.54%-390M
-177.78%-1.1B
-553.66%-268M
-132.52%-286M
-151.72%-292M
-118.97%-254M
-Change in payables and accrued expense
126.63%237M
120.97%108M
48.00%-299M
-9.85%540M
71.93%-112M
-335.45%-890M
-30.38%-515M
-583.19%-575M
-8.27%599M
-40,000.00%-399M
-Change in unearned premiums
31.08%1.81B
-7.06%-758M
102.91%349M
19.59%1.58B
7.11%633M
-4.04%1.38B
-50.96%-708M
-50.86%172M
24.48%1.32B
20.12%591M
-Change in other working capital
-46.09%69M
----
----
-141.57%-401M
100.78%257M
185.91%128M
----
----
---166M
--128M
Cash from discontinued operating activities
Operating cash flow
28.10%16.18B
43.28%4.57B
-7.74%4.32B
62.19%4.08B
43.05%3.22B
12.20%12.63B
19.86%3.19B
36.28%4.68B
-7.60%2.52B
-7.90%2.25B
Investing cash flow
Cash flow from continuing investing activities
-82.05%-13.92B
-11.74%-2.47B
-69.70%-5.38B
-37.12%-2.32B
-557.19%-3.75B
-35.27%-7.65B
-389.82%-2.21B
49.87%-3.17B
-179.81%-1.69B
42.71%-570M
Net investment purchase and sale
-110.79%-12.33B
-84.99%-2.08B
-56.49%-5.52B
-79.20%-1.66B
-1,057.95%-3.06B
-443.19%-5.85B
-660.81%-1.13B
-638.49%-3.53B
-135.29%-928M
12.00%-264M
Net business purchase and sale
23.81%-1.58B
68.30%-310M
-215.92%-233M
37.82%-554M
-18.92%-484M
73.45%-2.08B
-85.93%-978M
103.41%201M
-44.17%-891M
47.95%-407M
Net other investing changes
-58.83%-1.41B
-29.17%-434M
38.03%-132M
-176.19%-464M
-122.09%-382M
-58.75%-889M
-130.14%-336M
-32.30%-213M
-26.32%-168M
-43.33%-172M
Cash from discontinued investing activities
Investing cash flow
-82.05%-13.92B
-11.74%-2.47B
-69.70%-5.38B
-37.12%-2.32B
-557.19%-3.75B
-35.27%-7.65B
-389.82%-2.21B
49.87%-3.17B
-179.81%-1.69B
42.71%-570M
Financing cash flow
Cash flow from continuing financing activities
51.41%-2.18B
-82.04%-2.12B
210.76%1.12B
-96.62%-1.75B
139.47%562M
12.70%-4.49B
51.74%-1.16B
49.48%-1.01B
-252.84%-888M
-9.04%-1.42B
Increase decrease in deposit
-223.83%-317M
-238.39%-429M
14.29%-132M
67.68%166M
7,700.00%78M
12,700.00%256M
131.12%310M
84.66%-154M
-95.05%99M
--1M
Net issuance payments of debt
304.42%971M
---626M
--1.3B
---700M
309.68%996M
52.50%-475M
--0
--0
--0
---475M
Net common stock issuance
25.30%-1.8B
20.07%-450M
49.23%-295M
9.70%-652M
25.87%-404M
16.69%-2.41B
-407.21%-563M
11.43%-581M
35.88%-722M
45.55%-545M
Cash dividends paid
-3.01%-1.44B
-4.86%-367M
-4.21%-371M
-1.75%-349M
-1.16%-349M
-1.38%-1.39B
-1.45%-350M
-2.01%-356M
-0.88%-343M
-1.17%-345M
Proceeds from stock option exercised by employees
67.92%356M
-25.00%54M
57.89%60M
68.09%79M
196.36%163M
-19.70%212M
9.09%72M
35.71%38M
-16.07%47M
-51.75%55M
Net other financing charges
106.79%46M
52.45%-301M
1,297.50%559M
-1,035.48%-290M
167.83%78M
-387.05%-677M
-2,334.62%-633M
266.67%40M
381.82%31M
-47.44%-115M
Cash from discontinued financing activities
Financing cash flow
51.41%-2.18B
-82.04%-2.12B
210.76%1.12B
-96.62%-1.75B
139.47%562M
12.70%-4.49B
51.74%-1.16B
49.48%-1.01B
-252.84%-888M
-9.04%-1.42B
Net cash flow
Beginning cash position
23.23%2.62B
-3.60%2.68B
8.13%2.57B
11.29%2.65B
23.23%2.62B
17.45%2.13B
22.70%2.78B
-67.19%2.38B
24.45%2.38B
17.45%2.13B
Current changes in cash
-84.24%78M
85.42%-28M
-88.48%57M
120.00%13M
-85.99%36M
7.14%495M
6.80%-192M
110.11%495M
-101.20%-65M
79.72%257M
Effect of exchange rate changes
-14,900.00%-150M
-388.57%-101M
157.61%53M
-265.52%-96M
-200.00%-6M
99.32%-1M
-49.28%35M
-19.48%-92M
159.18%58M
95.00%-2M
End cash position
-2.75%2.55B
-2.75%2.55B
-3.60%2.68B
8.13%2.57B
11.29%2.65B
23.23%2.62B
23.23%2.62B
22.70%2.78B
-67.19%2.38B
24.45%2.38B
Free cash flow
28.10%16.18B
43.28%4.57B
-7.74%4.32B
62.19%4.08B
43.05%3.22B
12.20%12.63B
19.86%3.19B
36.28%4.68B
-7.60%2.52B
-7.90%2.25B
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 28.10%16.18B43.28%4.57B-7.74%4.32B62.19%4.08B43.05%3.22B12.20%12.63B19.86%3.19B36.28%4.68B-7.60%2.52B-7.90%2.25B
Net income from continuing operations 6.93%9.64B-19.76%2.64B22.06%2.49B23.59%2.22B21.25%2.29B71.85%9.02B150.95%3.29B157.58%2.04B50.67%1.79B-3.12%1.89B
Operating gains losses -886.61%-999M-114.81%-52M-1,477.78%-710M125.19%295M-71.61%-532M-87.67%127M-31.84%351M-112.86%-45M-76.23%131M19.69%-310M
Deferred tax 108.54%96M95.36%-54M575.00%19M355.88%155M-366.67%-24M-453.46%-1.12B-542.21%-1.16B92.45%-4M100.00%34M-90.11%9M
Other non cash items -28.79%1.51B-5.95%1.11B-49.43%399M-1,200.00%-154M10.88%163M199.86%2.13B32.28%1.18B283.01%789M105.43%14M214.84%147M
Change in working capital 155.50%5.78B266.37%747M18.06%2.2B252.48%1.57B212.25%1.27B-33.97%2.26B-112.80%-449M2.42%1.86B-58.50%444M-45.74%408M
-Change in receivables 16.69%-1.31B94.50%848M99.76%-1M-33.83%-2.42B20.91%266M35.47%-1.57B-62.83%436M70.30%-417M-10.78%-1.81B138.66%220M
-Change in loss and loss adjustment expense reserves 48.40%6.41B60.46%767M-19.77%2.35B238.23%2.67B408.20%620M-5.97%4.32B244.85%478M1.88%2.93B-28.44%790M-87.08%122M
-Change in deferred acquisition costs -29.91%-1.43B-7.09%-287M-20.98%-346M-39.04%-406M-53.54%-390M-177.78%-1.1B-553.66%-268M-132.52%-286M-151.72%-292M-118.97%-254M
-Change in payables and accrued expense 126.63%237M120.97%108M48.00%-299M-9.85%540M71.93%-112M-335.45%-890M-30.38%-515M-583.19%-575M-8.27%599M-40,000.00%-399M
-Change in unearned premiums 31.08%1.81B-7.06%-758M102.91%349M19.59%1.58B7.11%633M-4.04%1.38B-50.96%-708M-50.86%172M24.48%1.32B20.12%591M
-Change in other working capital -46.09%69M---------141.57%-401M100.78%257M185.91%128M-----------166M--128M
Cash from discontinued operating activities
Operating cash flow 28.10%16.18B43.28%4.57B-7.74%4.32B62.19%4.08B43.05%3.22B12.20%12.63B19.86%3.19B36.28%4.68B-7.60%2.52B-7.90%2.25B
Investing cash flow
Cash flow from continuing investing activities -82.05%-13.92B-11.74%-2.47B-69.70%-5.38B-37.12%-2.32B-557.19%-3.75B-35.27%-7.65B-389.82%-2.21B49.87%-3.17B-179.81%-1.69B42.71%-570M
Net investment purchase and sale -110.79%-12.33B-84.99%-2.08B-56.49%-5.52B-79.20%-1.66B-1,057.95%-3.06B-443.19%-5.85B-660.81%-1.13B-638.49%-3.53B-135.29%-928M12.00%-264M
Net business purchase and sale 23.81%-1.58B68.30%-310M-215.92%-233M37.82%-554M-18.92%-484M73.45%-2.08B-85.93%-978M103.41%201M-44.17%-891M47.95%-407M
Net other investing changes -58.83%-1.41B-29.17%-434M38.03%-132M-176.19%-464M-122.09%-382M-58.75%-889M-130.14%-336M-32.30%-213M-26.32%-168M-43.33%-172M
Cash from discontinued investing activities
Investing cash flow -82.05%-13.92B-11.74%-2.47B-69.70%-5.38B-37.12%-2.32B-557.19%-3.75B-35.27%-7.65B-389.82%-2.21B49.87%-3.17B-179.81%-1.69B42.71%-570M
Financing cash flow
Cash flow from continuing financing activities 51.41%-2.18B-82.04%-2.12B210.76%1.12B-96.62%-1.75B139.47%562M12.70%-4.49B51.74%-1.16B49.48%-1.01B-252.84%-888M-9.04%-1.42B
Increase decrease in deposit -223.83%-317M-238.39%-429M14.29%-132M67.68%166M7,700.00%78M12,700.00%256M131.12%310M84.66%-154M-95.05%99M--1M
Net issuance payments of debt 304.42%971M---626M--1.3B---700M309.68%996M52.50%-475M--0--0--0---475M
Net common stock issuance 25.30%-1.8B20.07%-450M49.23%-295M9.70%-652M25.87%-404M16.69%-2.41B-407.21%-563M11.43%-581M35.88%-722M45.55%-545M
Cash dividends paid -3.01%-1.44B-4.86%-367M-4.21%-371M-1.75%-349M-1.16%-349M-1.38%-1.39B-1.45%-350M-2.01%-356M-0.88%-343M-1.17%-345M
Proceeds from stock option exercised by employees 67.92%356M-25.00%54M57.89%60M68.09%79M196.36%163M-19.70%212M9.09%72M35.71%38M-16.07%47M-51.75%55M
Net other financing charges 106.79%46M52.45%-301M1,297.50%559M-1,035.48%-290M167.83%78M-387.05%-677M-2,334.62%-633M266.67%40M381.82%31M-47.44%-115M
Cash from discontinued financing activities
Financing cash flow 51.41%-2.18B-82.04%-2.12B210.76%1.12B-96.62%-1.75B139.47%562M12.70%-4.49B51.74%-1.16B49.48%-1.01B-252.84%-888M-9.04%-1.42B
Net cash flow
Beginning cash position 23.23%2.62B-3.60%2.68B8.13%2.57B11.29%2.65B23.23%2.62B17.45%2.13B22.70%2.78B-67.19%2.38B24.45%2.38B17.45%2.13B
Current changes in cash -84.24%78M85.42%-28M-88.48%57M120.00%13M-85.99%36M7.14%495M6.80%-192M110.11%495M-101.20%-65M79.72%257M
Effect of exchange rate changes -14,900.00%-150M-388.57%-101M157.61%53M-265.52%-96M-200.00%-6M99.32%-1M-49.28%35M-19.48%-92M159.18%58M95.00%-2M
End cash position -2.75%2.55B-2.75%2.55B-3.60%2.68B8.13%2.57B11.29%2.65B23.23%2.62B23.23%2.62B22.70%2.78B-67.19%2.38B24.45%2.38B
Free cash flow 28.10%16.18B43.28%4.57B-7.74%4.32B62.19%4.08B43.05%3.22B12.20%12.63B19.86%3.19B36.28%4.68B-7.60%2.52B-7.90%2.25B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
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