US Stock MarketDetailed Quotes

CNO CNO Financial Group Inc

Watchlist
  • 41.690
  • +0.420+1.02%
Close Feb 28 16:00 ET
  • 41.690
  • 0.0000.00%
Post 20:01 ET
4.21BMarket Cap11.15P/E (TTM)

CNO Financial Group Inc 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
7.69%627.7M
8.09%191M
26.48%231.2M
-21.63%110.9M
15.51%94.6M
17.66%582.9M
9.82%176.7M
9.13%182.8M
27.94%141.5M
45.21%81.9M
Net income from continuing operations
46.11%404M
357.58%166.1M
-94.44%9.3M
57.80%116.3M
14,137.50%112.3M
-56.15%276.5M
-4.47%36.3M
-4.89%167.3M
-68.41%73.7M
-100.44%-800K
Operating gains losses
-27.68%49.9M
529.63%11.6M
-52.30%11.4M
-29.97%22.2M
-70.81%4.7M
-49.04%69M
-102.93%-2.7M
3,314.29%23.9M
3.26%31.7M
35.29%16.1M
Deferred tax
180.09%59.1M
1,285.71%41.5M
-116.94%-5.1M
-222.22%-1.1M
471.88%23.8M
-86.12%21.1M
-29.63%-3.5M
-39.07%30.1M
-98.57%900K
-115.13%-6.4M
Other non cash items
-134.58%-288.3M
8.87%-86.3M
-95.62%3.1M
-95.88%-47.6M
-110.84%-157.5M
-410.35%-122.9M
-839.84%-94.7M
48.74%70.8M
-491.94%-24.3M
-176.67%-74.7M
Change in working capital
23.70%556.3M
-74.95%70.2M
392.67%263.7M
-23.75%65.8M
-9.64%156.6M
220.02%449.7M
179.36%280.2M
13.53%-90.1M
139.51%86.3M
213.71%173.3M
-Change in loss and loss adjustment expense reserves
23.70%556.3M
-74.95%70.2M
392.67%263.7M
-23.75%65.8M
-9.64%156.6M
220.02%449.7M
179.36%280.2M
13.53%-90.1M
139.51%86.3M
213.71%173.3M
Cash from discontinued operating activities
Operating cash flow
7.69%627.7M
8.09%191M
26.48%231.2M
-21.63%110.9M
15.51%94.6M
17.66%582.9M
9.82%176.7M
9.13%182.8M
27.94%141.5M
45.21%81.9M
Investing cash flow
Cash flow from continuing investing activities
-70.65%-1.49B
-307.12%-151.2M
57.32%-167.9M
-689.19%-1.15B
94.20%-23.6M
51.03%-872.3M
134.21%73M
-16.53%-393.4M
34.00%-145.2M
59.74%-406.7M
Net investment purchase and sale
-76.51%-1.48B
-281.46%-143.9M
56.60%-167.4M
-737.14%-1.14B
94.63%-21.1M
51.42%-835.7M
141.39%79.3M
-19.41%-385.7M
34.53%-136.5M
60.60%-392.8M
Net other investing changes
63.11%-13.5M
-15.87%-7.3M
93.51%-500K
63.22%-3.2M
82.01%-2.5M
40.20%-36.6M
71.10%-6.3M
47.26%-7.7M
24.35%-8.7M
-4.51%-13.9M
Cash from discontinued investing activities
Investing cash flow
-70.65%-1.49B
-307.12%-151.2M
57.32%-167.9M
-689.19%-1.15B
94.20%-23.6M
51.03%-872.3M
134.21%73M
-16.53%-393.4M
34.00%-145.2M
59.74%-406.7M
Financing cash flow
Cash flow from continuing financing activities
269.18%1.97B
1,161.24%712.6M
-17.97%189.9M
3,066.21%1.38B
-253.56%-310.2M
-55.51%533.5M
-60.74%56.5M
122.17%231.5M
-67.73%43.5M
-75.25%202M
Net issuance payments of debt
37.46%355.6M
4,631.82%199.4M
-230.80%-218.7M
1,068.62%626.7M
-256.79%-251.8M
314.33%258.7M
61.40%-4.4M
1,592.86%167.2M
-729.49%-64.7M
277.85%160.6M
Net common stock issuance
-89.01%-289M
-29.91%-88.6M
-127.06%-85.6M
-100.68%-58.8M
-216.38%-56M
13.42%-152.9M
-2,173.33%-68.2M
-359.76%-37.7M
50.84%-29.3M
83.27%-17.7M
Cash dividends paid
0.59%-67.7M
1.80%-16.4M
0.59%-16.8M
1.15%-17.2M
-1.17%-17.3M
-5.09%-68.1M
-3.73%-16.7M
-4.97%-16.9M
-5.45%-17.4M
-6.21%-17.1M
Net other financing charges
297.48%1.97B
324.01%618.2M
329.77%511M
433.63%826.6M
-80.45%14.9M
-68.24%495.8M
-16.40%145.8M
-14.89%118.9M
-29.17%154.9M
-92.59%76.2M
Cash from discontinued financing activities
Financing cash flow
269.18%1.97B
1,161.24%712.6M
-17.97%189.9M
3,066.21%1.38B
-253.56%-310.2M
-55.51%533.5M
-60.74%56.5M
122.17%231.5M
-67.73%43.5M
-75.25%202M
Net cash flow
Beginning cash position
37.85%889M
113.68%1.25B
76.56%992.1M
24.46%649.8M
37.85%889M
-11.86%644.9M
5.29%582.8M
-9.28%561.9M
-12.10%522.1M
-11.86%644.9M
Current changes in cash
354.20%1.11B
145.72%752.4M
1,111.48%253.2M
760.05%342.3M
-94.79%-239.2M
381.22%244.1M
235.01%306.2M
131.71%20.9M
56.69%39.8M
10.82%-122.8M
End cash position
124.71%2B
124.71%2B
113.68%1.25B
76.56%992.1M
24.46%649.8M
37.85%889M
37.85%889M
5.29%582.8M
-9.28%561.9M
-12.10%522.1M
Free cash flow
7.69%627.7M
8.09%191M
26.48%231.2M
-21.63%110.9M
15.51%94.6M
17.66%582.9M
9.82%176.7M
9.13%182.8M
27.94%141.5M
45.21%81.9M
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(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 7.69%627.7M8.09%191M26.48%231.2M-21.63%110.9M15.51%94.6M17.66%582.9M9.82%176.7M9.13%182.8M27.94%141.5M45.21%81.9M
Net income from continuing operations 46.11%404M357.58%166.1M-94.44%9.3M57.80%116.3M14,137.50%112.3M-56.15%276.5M-4.47%36.3M-4.89%167.3M-68.41%73.7M-100.44%-800K
Operating gains losses -27.68%49.9M529.63%11.6M-52.30%11.4M-29.97%22.2M-70.81%4.7M-49.04%69M-102.93%-2.7M3,314.29%23.9M3.26%31.7M35.29%16.1M
Deferred tax 180.09%59.1M1,285.71%41.5M-116.94%-5.1M-222.22%-1.1M471.88%23.8M-86.12%21.1M-29.63%-3.5M-39.07%30.1M-98.57%900K-115.13%-6.4M
Other non cash items -134.58%-288.3M8.87%-86.3M-95.62%3.1M-95.88%-47.6M-110.84%-157.5M-410.35%-122.9M-839.84%-94.7M48.74%70.8M-491.94%-24.3M-176.67%-74.7M
Change in working capital 23.70%556.3M-74.95%70.2M392.67%263.7M-23.75%65.8M-9.64%156.6M220.02%449.7M179.36%280.2M13.53%-90.1M139.51%86.3M213.71%173.3M
-Change in loss and loss adjustment expense reserves 23.70%556.3M-74.95%70.2M392.67%263.7M-23.75%65.8M-9.64%156.6M220.02%449.7M179.36%280.2M13.53%-90.1M139.51%86.3M213.71%173.3M
Cash from discontinued operating activities
Operating cash flow 7.69%627.7M8.09%191M26.48%231.2M-21.63%110.9M15.51%94.6M17.66%582.9M9.82%176.7M9.13%182.8M27.94%141.5M45.21%81.9M
Investing cash flow
Cash flow from continuing investing activities -70.65%-1.49B-307.12%-151.2M57.32%-167.9M-689.19%-1.15B94.20%-23.6M51.03%-872.3M134.21%73M-16.53%-393.4M34.00%-145.2M59.74%-406.7M
Net investment purchase and sale -76.51%-1.48B-281.46%-143.9M56.60%-167.4M-737.14%-1.14B94.63%-21.1M51.42%-835.7M141.39%79.3M-19.41%-385.7M34.53%-136.5M60.60%-392.8M
Net other investing changes 63.11%-13.5M-15.87%-7.3M93.51%-500K63.22%-3.2M82.01%-2.5M40.20%-36.6M71.10%-6.3M47.26%-7.7M24.35%-8.7M-4.51%-13.9M
Cash from discontinued investing activities
Investing cash flow -70.65%-1.49B-307.12%-151.2M57.32%-167.9M-689.19%-1.15B94.20%-23.6M51.03%-872.3M134.21%73M-16.53%-393.4M34.00%-145.2M59.74%-406.7M
Financing cash flow
Cash flow from continuing financing activities 269.18%1.97B1,161.24%712.6M-17.97%189.9M3,066.21%1.38B-253.56%-310.2M-55.51%533.5M-60.74%56.5M122.17%231.5M-67.73%43.5M-75.25%202M
Net issuance payments of debt 37.46%355.6M4,631.82%199.4M-230.80%-218.7M1,068.62%626.7M-256.79%-251.8M314.33%258.7M61.40%-4.4M1,592.86%167.2M-729.49%-64.7M277.85%160.6M
Net common stock issuance -89.01%-289M-29.91%-88.6M-127.06%-85.6M-100.68%-58.8M-216.38%-56M13.42%-152.9M-2,173.33%-68.2M-359.76%-37.7M50.84%-29.3M83.27%-17.7M
Cash dividends paid 0.59%-67.7M1.80%-16.4M0.59%-16.8M1.15%-17.2M-1.17%-17.3M-5.09%-68.1M-3.73%-16.7M-4.97%-16.9M-5.45%-17.4M-6.21%-17.1M
Net other financing charges 297.48%1.97B324.01%618.2M329.77%511M433.63%826.6M-80.45%14.9M-68.24%495.8M-16.40%145.8M-14.89%118.9M-29.17%154.9M-92.59%76.2M
Cash from discontinued financing activities
Financing cash flow 269.18%1.97B1,161.24%712.6M-17.97%189.9M3,066.21%1.38B-253.56%-310.2M-55.51%533.5M-60.74%56.5M122.17%231.5M-67.73%43.5M-75.25%202M
Net cash flow
Beginning cash position 37.85%889M113.68%1.25B76.56%992.1M24.46%649.8M37.85%889M-11.86%644.9M5.29%582.8M-9.28%561.9M-12.10%522.1M-11.86%644.9M
Current changes in cash 354.20%1.11B145.72%752.4M1,111.48%253.2M760.05%342.3M-94.79%-239.2M381.22%244.1M235.01%306.2M131.71%20.9M56.69%39.8M10.82%-122.8M
End cash position 124.71%2B124.71%2B113.68%1.25B76.56%992.1M24.46%649.8M37.85%889M37.85%889M5.29%582.8M-9.28%561.9M-12.10%522.1M
Free cash flow 7.69%627.7M8.09%191M26.48%231.2M-21.63%110.9M15.51%94.6M17.66%582.9M9.82%176.7M9.13%182.8M27.94%141.5M45.21%81.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

Trending Stocks

Top Gaining Chinese Stocks Top Gaining Chinese Stocks
Unlock Now
Reassessing Chinese Assets
Following the introduction of China's groundbreaking DeepSeek technology, Wall Street giants have revised their investment outlooks for the Chinese market.
Discussing
FOMC leaves rates unchanged, how will you adjust your portfolio?
FOMC left the target Federal Funds rate unchanged at at target of 4.25%-4.5%, how will you adjust your portfolio? Show More