US Stock MarketDetailed Quotes

CI The Cigna Group

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  • 337.330
  • +4.730+1.42%
Close Aug 2 16:00 ET
  • 337.330
  • 0.0000.00%
Post 18:12 ET
94.30BMarket Cap26.62P/E (TTM)

The Cigna Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-89.37%265M
-3.74%4.84B
36.47%11.81B
-30.11%1.47B
-13.92%2.83B
100.32%2.49B
147.68%5.03B
20.37%8.66B
-50.90%2.1B
54.93%3.28B
Net income from continuing operations
7.88%1.63B
-116.23%-212M
-20.79%5.37B
-9.41%1.11B
-47.84%1.45B
-3.82%1.51B
7.76%1.31B
25.13%6.78B
7.38%1.22B
69.91%2.78B
Operating gains losses
284.62%48M
3,212.50%1.86B
234.21%1.58B
2,156.72%1.51B
102.12%35M
-129.21%-26M
-82.61%56M
-493.43%-1.18B
195.71%67M
-2,330.88%-1.65B
Deferred tax
2.02%-97M
5.56%-102M
-251.48%-1.66B
-679.31%-1.36B
28.36%-96M
-230.00%-99M
19.40%-108M
-118.52%-472M
-55.36%-174M
-458.33%-134M
Change in working capital
-683.24%-2.05B
-15.44%2.56B
497.26%3.49B
-325.30%-561M
-57.09%672M
130.77%352M
3,577.01%3.03B
166.44%584M
-90.33%249M
1,091.14%1.57B
-Change in receivables
-736.46%-5.25B
-543.49%-2.62B
-19.41%-2.2B
-137.24%-567M
-194.64%-600M
65.87%-628M
-2.01%-407M
47.28%-1.84B
-129.08%-239M
194.49%634M
-Change in loss and loss adjustment expense reserves
-438.66%-657M
-65.30%532M
273.81%584M
-20.70%-898M
-158.89%-245M
229.33%194M
979.58%1.53B
-141.74%-336M
-1,182.76%-744M
123.66%416M
-Change in payables and accrued expense
343.10%4.24B
190.40%3.57B
57.73%5.51B
10.19%1.92B
113.07%1.4B
-11.40%956M
11,072.73%1.23B
71.44%3.49B
-16.54%1.75B
41.20%658M
-Change in other current assets
-79.21%-543M
79.33%1.02B
17.73%-868M
-61.79%-1.23B
140.93%97M
-7.83%-303M
154.95%566M
-89.41%-1.06B
-8.12%-759M
-1,228.57%-237M
-Change in other working capital
23.31%164M
-41.35%61M
42.46%463M
-15.10%208M
-81.05%18M
177.08%133M
265.08%104M
-2.40%325M
2.08%245M
200.00%95M
Cash from discontinued operating activities
Operating cash flow
-89.37%265M
-3.74%4.84B
36.47%11.81B
-30.11%1.47B
-13.92%2.83B
100.32%2.49B
147.68%5.03B
20.37%8.66B
-50.90%2.1B
54.93%3.28B
Investing cash flow
Cash flow from continuing investing activities
-54.59%-640M
83.41%-495M
-267.01%-5.17B
28.57%-440M
-130.07%-1.34B
-1.47%-414M
-820.68%-2.98B
185.79%3.1B
-600.81%-616M
726.20%4.45B
Net investment purchase and sale
-800.00%-45M
97.85%-55M
-1,289.00%-2.9B
186.08%68M
-292.31%-408M
89.36%-5M
-12,280.95%-2.56B
59.26%-209M
-118.85%-79M
52.29%-104M
Net proceeds payment for loan
-31.58%13M
-800.00%-28M
207.94%68M
246.15%76M
-875.00%-31M
190.48%19M
-33.33%4M
57.14%-63M
-26.83%-52M
105.48%4M
Net PPE purchase and sale
6.80%-370M
26.47%-300M
-21.47%-1.57B
-5.80%-365M
-19.23%-403M
-22.53%-397M
-41.67%-408M
-12.22%-1.3B
-13.49%-345M
3.43%-338M
Net business purchase and sale
--0
--0
-108.98%-434M
-33.33%-4M
-109.34%-457M
--5M
138.60%22M
355.28%4.84B
-200.00%-3M
8,124.59%4.9B
Net other investing changes
-561.11%-238M
-160.47%-112M
-95.29%-332M
-56.93%-215M
-245.45%-38M
-125.00%-36M
-616.67%-43M
-275.26%-170M
-397.83%-137M
-37.50%-11M
Cash from discontinued investing activities
Investing cash flow
-54.59%-640M
83.41%-495M
-267.01%-5.17B
28.57%-440M
-130.07%-1.34B
-1.47%-414M
-820.68%-2.98B
185.79%3.1B
-600.81%-616M
726.20%4.45B
Financing cash flow
Cash flow from continuing financing activities
-430.80%-2.31B
-6,735.14%-2.53B
61.80%-4.29B
52.58%-1.25B
53.38%-2.57B
52.51%-435M
98.30%-37M
-36.87%-11.24B
-11.18%-2.64B
-219.27%-5.52B
Net issuance payments of debt
-565.10%-893M
34.66%1.89B
89.14%-278M
43.70%-286M
12.23%-1.59B
-12.33%192M
402.81%1.4B
-489.50%-2.56B
22.80%-508M
-255.64%-1.81B
Net common stock issuance
-660.00%-950M
-312.12%-3.84B
70.95%-2.1B
71.70%-470M
83.24%-570M
85.83%-125M
26.90%-932M
2.67%-7.22B
-18.98%-1.66B
-30.77%-3.4B
Cash dividends paid
-8.29%-392M
-8.97%-401M
-4.77%-1.45B
-7.19%-358M
-6.16%-362M
-2.84%-362M
-3.08%-368M
-3.21%-1.38B
-3.09%-334M
-3.33%-341M
Net other financing charges
47.14%-74M
-25.90%-175M
-493.67%-469M
-2.26%-136M
-274.19%-54M
-241.41%-140M
-82.89%-139M
29.46%-79M
-2,000.00%-133M
-24.39%31M
Cash from discontinued financing activities
Financing cash flow
-430.80%-2.31B
-6,735.14%-2.53B
61.80%-4.29B
52.58%-1.25B
53.38%-2.57B
52.51%-435M
98.30%-37M
-36.87%-11.24B
-11.18%-2.64B
-219.27%-5.52B
Net cash flow
Beginning cash position
26.97%10.14B
39.51%8.34B
7.71%5.98B
20.08%8.55B
95.73%9.64B
57.89%7.99B
7.71%5.98B
-45.85%5.55B
101.05%7.12B
26.95%4.92B
Current changes in cash
-263.36%-2.68B
-9.56%1.82B
356.23%2.35B
80.66%-223M
-148.96%-1.08B
2,153.75%1.64B
531.83%2.01B
111.10%514M
-156.88%-1.15B
793.42%2.21B
Effect of exchange rate changes
-175.00%-3M
-280.00%-9M
118.60%16M
16.67%14M
61.11%-7M
107.02%4M
121.74%5M
-32.31%-86M
163.16%12M
5.26%-18M
End cash position
-22.61%7.46B
26.97%10.14B
39.51%8.34B
39.51%8.34B
20.08%8.55B
95.73%9.64B
57.89%7.99B
7.71%5.98B
7.71%5.98B
101.05%7.12B
Free cash flow
-105.01%-105M
-1.73%4.54B
39.11%10.24B
-37.17%1.1B
-17.72%2.42B
127.72%2.1B
165.21%4.62B
21.93%7.36B
-55.83%1.75B
66.48%2.95B
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
--
--
--
--
--
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -89.37%265M-3.74%4.84B36.47%11.81B-30.11%1.47B-13.92%2.83B100.32%2.49B147.68%5.03B20.37%8.66B-50.90%2.1B54.93%3.28B
Net income from continuing operations 7.88%1.63B-116.23%-212M-20.79%5.37B-9.41%1.11B-47.84%1.45B-3.82%1.51B7.76%1.31B25.13%6.78B7.38%1.22B69.91%2.78B
Operating gains losses 284.62%48M3,212.50%1.86B234.21%1.58B2,156.72%1.51B102.12%35M-129.21%-26M-82.61%56M-493.43%-1.18B195.71%67M-2,330.88%-1.65B
Deferred tax 2.02%-97M5.56%-102M-251.48%-1.66B-679.31%-1.36B28.36%-96M-230.00%-99M19.40%-108M-118.52%-472M-55.36%-174M-458.33%-134M
Change in working capital -683.24%-2.05B-15.44%2.56B497.26%3.49B-325.30%-561M-57.09%672M130.77%352M3,577.01%3.03B166.44%584M-90.33%249M1,091.14%1.57B
-Change in receivables -736.46%-5.25B-543.49%-2.62B-19.41%-2.2B-137.24%-567M-194.64%-600M65.87%-628M-2.01%-407M47.28%-1.84B-129.08%-239M194.49%634M
-Change in loss and loss adjustment expense reserves -438.66%-657M-65.30%532M273.81%584M-20.70%-898M-158.89%-245M229.33%194M979.58%1.53B-141.74%-336M-1,182.76%-744M123.66%416M
-Change in payables and accrued expense 343.10%4.24B190.40%3.57B57.73%5.51B10.19%1.92B113.07%1.4B-11.40%956M11,072.73%1.23B71.44%3.49B-16.54%1.75B41.20%658M
-Change in other current assets -79.21%-543M79.33%1.02B17.73%-868M-61.79%-1.23B140.93%97M-7.83%-303M154.95%566M-89.41%-1.06B-8.12%-759M-1,228.57%-237M
-Change in other working capital 23.31%164M-41.35%61M42.46%463M-15.10%208M-81.05%18M177.08%133M265.08%104M-2.40%325M2.08%245M200.00%95M
Cash from discontinued operating activities
Operating cash flow -89.37%265M-3.74%4.84B36.47%11.81B-30.11%1.47B-13.92%2.83B100.32%2.49B147.68%5.03B20.37%8.66B-50.90%2.1B54.93%3.28B
Investing cash flow
Cash flow from continuing investing activities -54.59%-640M83.41%-495M-267.01%-5.17B28.57%-440M-130.07%-1.34B-1.47%-414M-820.68%-2.98B185.79%3.1B-600.81%-616M726.20%4.45B
Net investment purchase and sale -800.00%-45M97.85%-55M-1,289.00%-2.9B186.08%68M-292.31%-408M89.36%-5M-12,280.95%-2.56B59.26%-209M-118.85%-79M52.29%-104M
Net proceeds payment for loan -31.58%13M-800.00%-28M207.94%68M246.15%76M-875.00%-31M190.48%19M-33.33%4M57.14%-63M-26.83%-52M105.48%4M
Net PPE purchase and sale 6.80%-370M26.47%-300M-21.47%-1.57B-5.80%-365M-19.23%-403M-22.53%-397M-41.67%-408M-12.22%-1.3B-13.49%-345M3.43%-338M
Net business purchase and sale --0--0-108.98%-434M-33.33%-4M-109.34%-457M--5M138.60%22M355.28%4.84B-200.00%-3M8,124.59%4.9B
Net other investing changes -561.11%-238M-160.47%-112M-95.29%-332M-56.93%-215M-245.45%-38M-125.00%-36M-616.67%-43M-275.26%-170M-397.83%-137M-37.50%-11M
Cash from discontinued investing activities
Investing cash flow -54.59%-640M83.41%-495M-267.01%-5.17B28.57%-440M-130.07%-1.34B-1.47%-414M-820.68%-2.98B185.79%3.1B-600.81%-616M726.20%4.45B
Financing cash flow
Cash flow from continuing financing activities -430.80%-2.31B-6,735.14%-2.53B61.80%-4.29B52.58%-1.25B53.38%-2.57B52.51%-435M98.30%-37M-36.87%-11.24B-11.18%-2.64B-219.27%-5.52B
Net issuance payments of debt -565.10%-893M34.66%1.89B89.14%-278M43.70%-286M12.23%-1.59B-12.33%192M402.81%1.4B-489.50%-2.56B22.80%-508M-255.64%-1.81B
Net common stock issuance -660.00%-950M-312.12%-3.84B70.95%-2.1B71.70%-470M83.24%-570M85.83%-125M26.90%-932M2.67%-7.22B-18.98%-1.66B-30.77%-3.4B
Cash dividends paid -8.29%-392M-8.97%-401M-4.77%-1.45B-7.19%-358M-6.16%-362M-2.84%-362M-3.08%-368M-3.21%-1.38B-3.09%-334M-3.33%-341M
Net other financing charges 47.14%-74M-25.90%-175M-493.67%-469M-2.26%-136M-274.19%-54M-241.41%-140M-82.89%-139M29.46%-79M-2,000.00%-133M-24.39%31M
Cash from discontinued financing activities
Financing cash flow -430.80%-2.31B-6,735.14%-2.53B61.80%-4.29B52.58%-1.25B53.38%-2.57B52.51%-435M98.30%-37M-36.87%-11.24B-11.18%-2.64B-219.27%-5.52B
Net cash flow
Beginning cash position 26.97%10.14B39.51%8.34B7.71%5.98B20.08%8.55B95.73%9.64B57.89%7.99B7.71%5.98B-45.85%5.55B101.05%7.12B26.95%4.92B
Current changes in cash -263.36%-2.68B-9.56%1.82B356.23%2.35B80.66%-223M-148.96%-1.08B2,153.75%1.64B531.83%2.01B111.10%514M-156.88%-1.15B793.42%2.21B
Effect of exchange rate changes -175.00%-3M-280.00%-9M118.60%16M16.67%14M61.11%-7M107.02%4M121.74%5M-32.31%-86M163.16%12M5.26%-18M
End cash position -22.61%7.46B26.97%10.14B39.51%8.34B39.51%8.34B20.08%8.55B95.73%9.64B57.89%7.99B7.71%5.98B7.71%5.98B101.05%7.12B
Free cash flow -105.01%-105M-1.73%4.54B39.11%10.24B-37.17%1.1B-17.72%2.42B127.72%2.1B165.21%4.62B21.93%7.36B-55.83%1.75B66.48%2.95B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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