US Stock MarketDetailed Quotes

L Loews

Watchlist
  • 78.900
  • +0.210+0.27%
Close Sep 27 16:00 ET
  • 78.900
  • 0.0000.00%
Post 20:01 ET
17.32BMarket Cap11.57P/E (TTM)

Loews 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
-33.61%952M
-72.46%198M
17.89%3.91B
-23.31%477M
2.49%1.28B
40.18%1.43B
69.98%719M
26.34%3.31B
-34.32%622M
9.97%1.25B
Net income from continuing operations
1.80%395M
20.05%485M
73.40%1.55B
25.86%477M
1,122.22%276M
107.49%388M
14.77%404M
-47.12%891M
7.37%379M
-110.98%-27M
Operating gains losses
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-83.68%71M
----
----
----
----
159.26%435M
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Deferred tax
----
----
354.00%127M
----
----
----
----
-123.92%-50M
----
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Other non cash items
-21.88%75M
-14.22%175M
21.11%109M
35.53%-410M
-4.37%219M
-43.20%96M
-37.80%204M
11.11%90M
-483.13%-636M
124.51%229M
Change in working capital
-49.26%482M
-516.22%-462M
8.93%1.71B
-218.42%-135M
-25.10%782M
42.43%950M
143.19%111M
65.40%1.57B
-78.03%114M
32.99%1.04B
-Change in receivables
-5.42%-486M
-2,360.00%-113M
15.19%-268M
-250.38%-197M
105.88%385M
23.93%-461M
117.86%5M
77.57%-316M
144.56%131M
767.86%187M
-Change in loss and loss adjustment expense reserves
10.78%812M
2.55%443M
-19.00%1.67B
718.64%483M
-96.74%19M
-19.01%733M
-15.63%432M
-17.18%2.06B
-90.07%59M
12.36%582M
-Change in deferred acquisition costs
27.59%-21M
24.44%-34M
-7.59%-85M
15.38%-11M
--0
9.38%-29M
-45.16%-45M
-163.33%-79M
13.33%-13M
0.00%-3M
-Change in trading account securities
-83.48%115M
-1,545.24%-607M
262.89%577M
-144.78%-328M
-49.39%167M
106.53%696M
111.23%42M
424.49%159M
-202.29%-134M
0.61%330M
-Change in other current assets
34.09%-58M
-34.12%-114M
77.49%-88M
-32.63%64M
116.67%21M
61.06%-88M
36.57%-85M
58.67%-391M
202.15%95M
5.26%-126M
-Change in other current liabilities
21.21%120M
84.45%-37M
-169.34%-95M
-508.33%-146M
156.76%190M
-65.74%99M
-17.82%-238M
-84.73%137M
-112.24%-24M
-28.16%74M
Cash from discontinued operating activities
Operating cash flow
-33.61%952M
-72.46%198M
17.89%3.91B
-23.31%477M
2.49%1.28B
40.18%1.43B
69.98%719M
26.34%3.31B
-34.32%622M
9.97%1.25B
Investing cash flow
Cash flow from continuing investing activities
81.25%-250M
-665.67%-1.03B
-16.96%-2.75B
13.38%-492M
20.85%-786M
-122.54%-1.33B
28.34%-134M
-97.73%-2.35B
25.56%-568M
-92.07%-993M
Net investment purchase and sale
90.53%-98M
-916.00%-816M
4.17%-1.31B
-11.45%-146M
68.72%-228M
-175.27%-1.04B
176.92%100M
-18.17%-1.37B
78.84%-131M
-152.25%-729M
Net PPE purchase and sale
-13.57%-159M
0.00%-159M
-3.94%-686M
0.00%-223M
-31.20%-164M
26.70%-140M
-31.40%-159M
-36.93%-660M
-43.87%-223M
13.19%-125M
Net business purchase and sale
36.11%-46M
0.00%-41M
-149.78%-572M
-87.72%-107M
-155.07%-352M
-16.13%-72M
-246.43%-41M
-162.91%-229M
9.52%-57M
-137.93%-138M
Net other investing changes
161.63%53M
70.59%-10M
-93.48%-178M
89.81%-16M
-4,100.00%-42M
-386.67%-86M
-194.44%-34M
-205.75%-92M
-312.16%-157M
96.15%-1M
Cash from discontinued investing activities
Investing cash flow
81.25%-250M
-665.67%-1.03B
-16.96%-2.75B
13.38%-492M
20.85%-786M
-122.54%-1.33B
28.34%-134M
-97.73%-2.35B
25.56%-568M
-92.07%-993M
Financing cash flow
Cash flow from continuing financing activities
-234.89%-787M
288.36%987M
-25.36%-1.3B
15.14%-353M
37.95%-188M
10.31%-235M
-835.71%-524M
19.55%-1.04B
-10.64%-416M
19.41%-303M
Net issuance payments of debt
-616.00%-537M
2,950.00%1.1B
-49.25%-100M
30.15%-190M
1,512.50%129M
-3,850.00%-75M
-81.54%36M
-1,216.67%-67M
-597.44%-272M
200.00%8M
Net common stock issuance
-36.64%-179M
94.81%-24M
-16.46%-849M
-18.64%-140M
49.78%-116M
47.18%-131M
-250.00%-462M
35.83%-729M
62.06%-118M
32.26%-231M
Cash dividends paid
0.00%-14M
6.67%-14M
6.56%-57M
6.67%-14M
6.67%-14M
6.67%-14M
6.25%-15M
6.15%-61M
6.25%-15M
6.25%-15M
Net other financing charges
-280.00%-57M
12.05%-73M
-63.33%-294M
18.18%-9M
-187.69%-187M
-1,400.00%-15M
19.42%-83M
-91.49%-180M
-10.00%-11M
-490.91%-65M
Cash from discontinued financing activities
Financing cash flow
-234.89%-787M
288.36%987M
-25.36%-1.3B
15.14%-353M
37.95%-188M
10.31%-235M
-835.71%-524M
19.55%-1.04B
-10.64%-416M
19.41%-303M
Net cash flow
Beginning cash position
-6.40%556M
-25.00%399M
-14.33%532M
-14.00%762M
-51.31%463M
-25.56%594M
-14.33%532M
29.92%621M
9.25%886M
64.53%951M
Current changes in cash
36.57%-85M
160.66%159M
-97.14%-138M
-1.66%-368M
706.00%303M
-182.72%-134M
-66.11%61M
-147.62%-70M
-88.54%-362M
-120.83%-50M
Effect of exchange rate changes
-133.33%-1M
-300.00%-2M
126.32%5M
----
----
133.33%3M
133.33%1M
-375.00%-19M
300.00%8M
-114.29%-15M
End cash position
1.51%470M
-6.40%556M
-25.00%399M
-25.00%399M
-14.00%762M
-51.31%463M
-25.56%594M
-14.33%532M
-14.33%532M
9.25%886M
Free cash flow
-38.72%793M
-93.04%39M
21.36%3.22B
-36.34%254M
-0.71%1.11B
55.53%1.29B
85.43%560M
23.96%2.65B
-49.62%399M
13.35%1.12B
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
--
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(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 -33.61%952M-72.46%198M17.89%3.91B-23.31%477M2.49%1.28B40.18%1.43B69.98%719M26.34%3.31B-34.32%622M9.97%1.25B
Net income from continuing operations 1.80%395M20.05%485M73.40%1.55B25.86%477M1,122.22%276M107.49%388M14.77%404M-47.12%891M7.37%379M-110.98%-27M
Operating gains losses ---------83.68%71M----------------159.26%435M--------
Deferred tax --------354.00%127M-----------------123.92%-50M--------
Other non cash items -21.88%75M-14.22%175M21.11%109M35.53%-410M-4.37%219M-43.20%96M-37.80%204M11.11%90M-483.13%-636M124.51%229M
Change in working capital -49.26%482M-516.22%-462M8.93%1.71B-218.42%-135M-25.10%782M42.43%950M143.19%111M65.40%1.57B-78.03%114M32.99%1.04B
-Change in receivables -5.42%-486M-2,360.00%-113M15.19%-268M-250.38%-197M105.88%385M23.93%-461M117.86%5M77.57%-316M144.56%131M767.86%187M
-Change in loss and loss adjustment expense reserves 10.78%812M2.55%443M-19.00%1.67B718.64%483M-96.74%19M-19.01%733M-15.63%432M-17.18%2.06B-90.07%59M12.36%582M
-Change in deferred acquisition costs 27.59%-21M24.44%-34M-7.59%-85M15.38%-11M--09.38%-29M-45.16%-45M-163.33%-79M13.33%-13M0.00%-3M
-Change in trading account securities -83.48%115M-1,545.24%-607M262.89%577M-144.78%-328M-49.39%167M106.53%696M111.23%42M424.49%159M-202.29%-134M0.61%330M
-Change in other current assets 34.09%-58M-34.12%-114M77.49%-88M-32.63%64M116.67%21M61.06%-88M36.57%-85M58.67%-391M202.15%95M5.26%-126M
-Change in other current liabilities 21.21%120M84.45%-37M-169.34%-95M-508.33%-146M156.76%190M-65.74%99M-17.82%-238M-84.73%137M-112.24%-24M-28.16%74M
Cash from discontinued operating activities
Operating cash flow -33.61%952M-72.46%198M17.89%3.91B-23.31%477M2.49%1.28B40.18%1.43B69.98%719M26.34%3.31B-34.32%622M9.97%1.25B
Investing cash flow
Cash flow from continuing investing activities 81.25%-250M-665.67%-1.03B-16.96%-2.75B13.38%-492M20.85%-786M-122.54%-1.33B28.34%-134M-97.73%-2.35B25.56%-568M-92.07%-993M
Net investment purchase and sale 90.53%-98M-916.00%-816M4.17%-1.31B-11.45%-146M68.72%-228M-175.27%-1.04B176.92%100M-18.17%-1.37B78.84%-131M-152.25%-729M
Net PPE purchase and sale -13.57%-159M0.00%-159M-3.94%-686M0.00%-223M-31.20%-164M26.70%-140M-31.40%-159M-36.93%-660M-43.87%-223M13.19%-125M
Net business purchase and sale 36.11%-46M0.00%-41M-149.78%-572M-87.72%-107M-155.07%-352M-16.13%-72M-246.43%-41M-162.91%-229M9.52%-57M-137.93%-138M
Net other investing changes 161.63%53M70.59%-10M-93.48%-178M89.81%-16M-4,100.00%-42M-386.67%-86M-194.44%-34M-205.75%-92M-312.16%-157M96.15%-1M
Cash from discontinued investing activities
Investing cash flow 81.25%-250M-665.67%-1.03B-16.96%-2.75B13.38%-492M20.85%-786M-122.54%-1.33B28.34%-134M-97.73%-2.35B25.56%-568M-92.07%-993M
Financing cash flow
Cash flow from continuing financing activities -234.89%-787M288.36%987M-25.36%-1.3B15.14%-353M37.95%-188M10.31%-235M-835.71%-524M19.55%-1.04B-10.64%-416M19.41%-303M
Net issuance payments of debt -616.00%-537M2,950.00%1.1B-49.25%-100M30.15%-190M1,512.50%129M-3,850.00%-75M-81.54%36M-1,216.67%-67M-597.44%-272M200.00%8M
Net common stock issuance -36.64%-179M94.81%-24M-16.46%-849M-18.64%-140M49.78%-116M47.18%-131M-250.00%-462M35.83%-729M62.06%-118M32.26%-231M
Cash dividends paid 0.00%-14M6.67%-14M6.56%-57M6.67%-14M6.67%-14M6.67%-14M6.25%-15M6.15%-61M6.25%-15M6.25%-15M
Net other financing charges -280.00%-57M12.05%-73M-63.33%-294M18.18%-9M-187.69%-187M-1,400.00%-15M19.42%-83M-91.49%-180M-10.00%-11M-490.91%-65M
Cash from discontinued financing activities
Financing cash flow -234.89%-787M288.36%987M-25.36%-1.3B15.14%-353M37.95%-188M10.31%-235M-835.71%-524M19.55%-1.04B-10.64%-416M19.41%-303M
Net cash flow
Beginning cash position -6.40%556M-25.00%399M-14.33%532M-14.00%762M-51.31%463M-25.56%594M-14.33%532M29.92%621M9.25%886M64.53%951M
Current changes in cash 36.57%-85M160.66%159M-97.14%-138M-1.66%-368M706.00%303M-182.72%-134M-66.11%61M-147.62%-70M-88.54%-362M-120.83%-50M
Effect of exchange rate changes -133.33%-1M-300.00%-2M126.32%5M--------133.33%3M133.33%1M-375.00%-19M300.00%8M-114.29%-15M
End cash position 1.51%470M-6.40%556M-25.00%399M-25.00%399M-14.00%762M-51.31%463M-25.56%594M-14.33%532M-14.33%532M9.25%886M
Free cash flow -38.72%793M-93.04%39M21.36%3.22B-36.34%254M-0.71%1.11B55.53%1.29B85.43%560M23.96%2.65B-49.62%399M13.35%1.12B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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