Cincinnati Financial (CINF)
(Delayed Data from NSDQ)
$116.16 USD
-1.14 (-0.97%)
Updated May 2, 2024 04:00 PM ET
After-Market: $116.17 +0.01 (0.01%) 7:58 PM ET
3-Hold of 5 3
C Value C Growth A Momentum B VGM
We use cookies to understand how you use our site and to improve your experience. This includes personalizing content and advertising. To learn more, click here. By continuing to use our site, you accept our use of cookies, revised Privacy Policy and Terms of Service.
You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating individual securities.
If you wish to go to ZacksTrade, click OK. If you do not, click Cancel.
$116.16 USD
-1.14 (-0.97%)
Updated May 2, 2024 04:00 PM ET
After-Market: $116.17 +0.01 (0.01%) 7:58 PM ET
3-Hold of 5 3
C Value C Growth A Momentum B VGM
Zacks News
Cincinnati Financial Corporation, formed in 1968 with its headquarters in Fairfield, OH, markets property and casualty insurance. Cincinnati Financial owns three subsidiaries: The Cincinnati Insurance Company, CSU Producer Resources Inc. and CFC Investment Company. In addition, the parent company has an investment portfolio. The Cincinnati Insurance Company owns four additional insurance subsidiaries. The standard market property casualty insurance group includes two of those subsidiaries – The Cincinnati Casualty Company and The Cincinnati Indemnity Company. This group writes a broad range of business, homeowner and auto policies. The Cincinnati Insurance Company also conducts the business of our reinsurance assumed operations, known as Cincinnati Re. Other subsidiaries of The Cincinnati Insurance Company include: The Cincinnati Life Insurance Company providing life insurance policies and fixed annuities and The Cincinnati Specialty Underwriters Insurance Company offering excess and surplus lines insurance products
What Awaits Cincinnati Financial (CINF) This Earnings Season?
by Zacks Equity Research
Cincinnati Financial's (CINF) Q1 results are likely to reflect price increases, premium growth initiatives, better pricing and contribution from Cincinnati Re.
Travelers (TRV) to Report Q1 Earnings: What's in the Cards?
by Zacks Equity Research
Travelers' (TRV) first-quarter 2021 performance is expected to have benefited from higher premiums and underwriting gains.
What's in the Cards for W. R. Berkley (WRB) in Q1 Earnings?
by Zacks Equity Research
W. R. Berkley's (WRB) first-quarter results are likely to reflect premium growth, improved expense ratio and higher underwriting income.
6 Insurers Set to Outperform Estimates This Earnings Season
by Tanuka De
Better pricing, exposure growth, redesigning of products and sturdy capital are expected to help Allstate, Cincinnati Financial, Manulife, Primerica, Cigna, Unum Group outperform Q1 earnings estimates.
Manulife (MFC) to Gain From Solid Asia and WAM Businesses
by Zacks Equity Research
Manulife (MFC) is poised to grow given its solid in-force business growth, disciplined expense management and prudent capital deployment.
Why You Should Hold Progressive (PGR) in Your Portfolio
by Zacks Equity Research
Progressive (PGR) is poised to grow given its higher premium and underwriting profitability as well as higher return on equity.
Cincinnati Financial (CINF) Up 22% YTD: Will the Rally Last?
by Zacks Equity Research
Higher new business premiums, renewal written premium growth and effective capital deployment continue to drive Cincinnati Financial (CINF).
Here's Why Hold Strategy is Apt for CNA Financial (CNA)
by Zacks Equity Research
CNA Financial (CNA) is poised to grow, given its solid capital position, higher underlying underwriting profit, and prudent capital deployment.
Here's Why You Should Hold Palomar (PLMR) in Your Portfolio
by Zacks Equity Research
Palomar (PLMR) is poised to grow, given its new business generation, higher yield on investment portfolio, lower catastrophe events and solid capital position.
Reasons Why Kinsale Capital (KNSL) Stock is a Solid Pick Now
by Zacks Equity Research
Kinsale Capital (KNSL) is poised to benefit from improving technology, growth in investment portfolio balance and effective capital deployment.
Why Should You Hold Voya Financial (VOYA) in Your Portfolio?
by Zacks Equity Research
Voya Financial (VOYA) is poised to benefit from the solid segmental performance, robust capital position and prudent capital deployment.
American Financial (AFG) Banks on Premiums Amid Cost Woes
by Zacks Equity Research
American Financial (AFG) is well-poised to benefit from new business opportunities, higher retention and effective capital deployment.
The Zacks Analyst Blog Highlights: Cincinnati Financial, W.R. Berkley, Athene and Sun Life Financial
by Zacks Equity Research
The Zacks Analyst Blog Highlights: Cincinnati Financial, W.R. Berkley, Athene and Sun Life Financial
Buy These 4 Top-Ranked Insurance Stocks for Better Returns
by Tanuka De
The insurance industry is well poised to benefit from better pricing, prudent underwriting, increased adoption of technology, and increased exposure despite coronavirus-induced challenges.
Reasons Why Markel (MKL) Stock is an Attractive Bet Now
by Zacks Equity Research
Riding high on improved results of its businesses, strategic acquisitions and sufficient liquidity, Markel (MKL) has potential to reward its investors.
Why Should You Hold Reinsurance Group (RGA) in Your Portfolio?
by Zacks Equity Research
Riding high on invested asset base, new business opportunities and effective capital deployment, Reinsurance Group (RGA) is well poised for growth.
Why Should You Retain Axis Capital (AXS) in Your Portfolio?
by Zacks Equity Research
AXIS Capital (AXS) continues to benefit from enhanced pricing, improved loss, and new business opportunities.
Arch Capital (ACGL) Set to Take Over WLMI With Westpac Group
by Zacks Equity Research
Arch Capital (ACGL) agrees to purchase WLMI to prop up its mortgage insurance business in Australia.
Axis Capital (AXS), Elpha Secure Join Forces for Cyber Security
by Zacks Equity Research
AXIS Capital's (AXS) unit teamed up with cyber security company, Elpha Secure, to protect small businesses from cyber threats.
Cincinnati Financial (CINF) Up 14.6% Since Last Earnings Report: Can It Continue?
by Zacks Equity Research
Cincinnati Financial (CINF) reported earnings 30 days ago. What's next for the stock? We take a look at earnings estimates for some clues.
Brighthouse (BHF) Stock Up 90.6% in a Year: More Room to Run?
by Zacks Equity Research
Brighthouse (BHF) stock rallies on the back of strong sales, higher premiums and prudent capital deployment.
Here's Why Alleghany (Y) Stock is an Attractive Bet Right Now
by Zacks Equity Research
Alleghany (Y) is poised to benefit from improving rates, growth in business lines and solid financial position.
Here's Why You Should Hold Everest Re (RE) in Your Portfolio
by Zacks Equity Research
Everest Re (RE) is poised to benefit from improving premium, effective capital deployment and solid capital position.
Athene (ATH) Stock Up 60.2% in a Year: More Room to Run?
by Zacks Equity Research
Athene (ATH) stock rallies on the back of higher level of sales, higher premiums and effective capital deployment.
Here's Why Brown & Brown (BRO) Stock is a Solid Pick Now
by Zacks Equity Research
Brown & Brown (BRO) is well poised for growth on the back of strategic mergers and acquisitions, new business opportunities, as well as sufficient liquid assets.