Cincinnati Financial Corporation logo

Cincinnati Financial Corporation

CINF

NASDAQFinancial ServicesInsurance - Property & Casualty

Previous close

$168.29

+$0.10 · +0.06%

Aug 21, 4:00 PM ET

CINF company overview

Regular session · ET · Market data may be delayed.

GoAI snapshot

AI-powered factor overview

Jul 10, 2026

GoAI score

Buy

Favorable setup — positive multi-factor alignment

Valuation

93

Deep Value

Momentum

55

Neutral

Sentiment

68

Bullish

Risk resilience

78

Moderate Risk

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Company profile

Company website

Cincinnati Financial Corporation, operating through its various subsidiaries, delivers a range of property and casualty insurance offerings across the United States. Its operations are organized into five distinct divisions: Commercial Lines, Personal Lines, Excess and Surplus Lines, Life Insurance, and Investments. The Commercial Lines division safeguards businesses against risks such as commercial casualty, property damage, vehicle incidents, and workers' compensation claims; it also offers specialized protection including director and officer liability, various surety and fidelity bonds, and coverage for machinery and equipment. For individual clients, the Personal Lines segment provides essential coverages like personal auto and homeowner policies, alongside dwelling fire, inland marine, personal umbrella liability, and watercraft protection. The Excess and Surplus Lines segment specializes in commercial casualty insurance, protecting companies from third-party liabilities stemming from on-site incidents, operational activities, or product-related injuries; this segment also delivers commercial property insurance, securing assets like buildings, inventory, and equipment, as well as business income, against a broad spectrum of perils including fire, wind, hail, water damage, theft, and vandalism. Through its Life Insurance division, the company offers a comprehensive suite of life policies, encompassing term life, universal life, worksite-based term life, and whole life insurance options. The Investments segment manages a portfolio including fixed-maturity assets like taxable and tax-exempt bonds, along with redeemable preferred stocks, and equity holdings such as common and non-redeemable preferred stocks. Beyond insurance, Cincinnati Financial Corporation extends its services to include commercial leasing and financing, as well as insurance brokerage. Established in 1950, Cincinnati Financial Corporation's corporate headquarters are situated in Fairfield, Ohio.

Industry
Insurance - Property & Casualty
Sector
Financial Services
Headquarters
US
CEO
Stephen Michael Spray
Listed since
Mar 17, 1980
Employees
5,705

Market position

Day range

Current $168.29

52-week range

Current $168.29

Open
$168.74
Previous close
$168.19
Volume
450.51K
0.58× average
Average volume
770.88K
Average daily volume
Market cap
25.83B USD
Beta
0.55
Market reference 1
50-day average
$177.46
-5.17% below average
200-day average
$166.89
+0.84% above average

Financials

Financial snapshot

Latest / TTM

Valuation & yield

Enterprise value
25.22B USD
P/E (TTM)
7.91×
P/B (TTM)
1.56×
P/S (TTM)
1.85×
EV / EBITDA
7.88×
Earnings yield
9.29%
Free cash flow yield
12.00%
Dividend yield
2.15%

Profitability & efficiency

Gross margin
52.29%
Operating margin
29.78%
Net margin
23.84%
Return on equity
15.04%
Return on assets
5.84%
Return on invested capital
10.68%

Financial health

Debt / equity
0.05×
Current ratio
1.29×

Financial statements

Margin trends

Profitability as a percentage of reported revenue.

Gross marginOperating marginNet margin
Gross, operating, and net margin trends66%38%10%-18%Gross margin, FY2021: 59.39%Gross margin, FY2022: 23.53%Gross margin, FY2023: 47.33%Gross margin, FY2024: 49.40%Gross margin, FY2025: 47.43%Operating margin, FY2021: 38.42%Operating margin, FY2022: -10.57%Operating margin, FY2023: 22.73%Operating margin, FY2024: 25.21%Operating margin, FY2025: 23.59%Net margin, FY2021: 30.83%Net margin, FY2022: -7.42%Net margin, FY2023: 18.41%Net margin, FY2024: 20.22%Net margin, FY2025: 18.95%FY2021FY2022FY2023FY2024FY2025
Gross margin FY2021 59.39%. Gross margin FY2022 23.53%. Gross margin FY2023 47.33%. Gross margin FY2024 49.40%. Gross margin FY2025 47.43%. Operating margin FY2021 38.42%. Operating margin FY2022 -10.57%. Operating margin FY2023 22.73%. Operating margin FY2024 25.21%. Operating margin FY2025 23.59%. Net margin FY2021 30.83%. Net margin FY2022 -7.42%. Net margin FY2023 18.41%. Net margin FY2024 20.22%. Net margin FY2025 18.95%.

Income trends

Revenue

12.63B USD+11.41%

Operating income

2.98B USD+4.27%

Net income

2.39B USD+4.41%
Income trends across reported periods13.96B USD8.63B USD3.3B USD−2.03B USDRevenue, FY2021: 9.63B USDRevenue, FY2022: 6.56B USDRevenue, FY2023: 10.01B USDRevenue, FY2024: 11.34B USDRevenue, FY2025: 12.63B USDOperating income, FY2021: 3.7B USDOperating income, FY2022: −694M USDOperating income, FY2023: 2.28B USDOperating income, FY2024: 2.86B USDOperating income, FY2025: 2.98B USDNet income, FY2021: 2.97B USDNet income, FY2022: −487M USDNet income, FY2023: 1.84B USDNet income, FY2024: 2.29B USDNet income, FY2025: 2.39B USDFY2021FY2022FY2023FY2024FY2025
Revenue FY2021 9.63B USD. Revenue FY2022 6.56B USD. Revenue FY2023 10.01B USD. Revenue FY2024 11.34B USD. Revenue FY2025 12.63B USD. Operating income FY2021 3.7B USD. Operating income FY2022 −694M USD. Operating income FY2023 2.28B USD. Operating income FY2024 2.86B USD. Operating income FY2025 2.98B USD. Net income FY2021 2.97B USD. Net income FY2022 −487M USD. Net income FY2023 1.84B USD. Net income FY2024 2.29B USD. Net income FY2025 2.39B USD.
Metric (USD)FY2025FY2024FY2023FY2022FY2021
Revenue12.63B USD11.34B USD10.01B USD6.56B USD9.63B USD
Cost of goods sold6.64B USD5.74B USD5.27B USD5.02B USD3.91B USD
Gross profit5.99B USD5.6B USD4.74B USD1.54B USD5.72B USD
Operating expenses3.01B USD2.74B USD2.46B USD2.24B USD2.02B USD
Interest income1.16B USD1.02B USD882M USD785M USD723M USD
Interest expense53M USD53M USD54M USD53M USD53M USD
Depreciation and amortization168M USD130M USD112M USD127M USD118M USD
Operating income2.98B USD2.86B USD2.28B USD−694M USD3.7B USD
Net income2.39B USD2.29B USD1.84B USD−487M USD2.97B USD

Company facts updated Aug 24, 2026.

Earnings

EPS beat rate
82%
9 beats, 2 misses, 0 met estimates
Average EPS surprise
+22.95%
11 comparable reports
Latest EPS result
1.43
Estimate 1.84 · Miss by 22.28%

EPS: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly EPS actual values compared with estimates3.692.150.6-0.94Q1 '25BeatQ2 '25BeatQ3 '25BeatQ4 '25BeatQ1 '26BeatQ2 '26BeatQ3 '26MissQ4 '26Estimate
Q1 2025, reported Feb 10, 2025: actual 3.14, estimate 1.9, surprise +65.26%, Beat. Q2 2025, reported Apr 28, 2025: actual -0.24, estimate -0.62, surprise +61.31%, Beat. Q3 2025, reported Jul 28, 2025: actual 1.97, estimate 1.41, surprise +39.72%, Beat. Q4 2025, reported Oct 27, 2025: actual 2.85, estimate 2.14, surprise +33.18%, Beat. Q1 2026, reported Feb 9, 2026: actual 3.37, estimate 2.9, surprise +16.21%, Beat. Q2 2026, reported Apr 27, 2026: actual 2.1, estimate 1.95, surprise +7.69%, Beat. Q3 2026, reported Jul 27, 2026: actual 1.43, estimate 1.84, surprise -22.28%, Miss. Q4 2026, reported Oct 26, 2026: actual —, estimate 1.89, surprise —, Comparison unavailable.

Revenue: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly Revenue actual values compared with estimates3.88B3.31B2.74B2.18BQ1 '25BeatQ2 '25BeatQ3 '25BeatQ4 '25BeatQ1 '26BeatQ2 '26MissQ3 '26MissQ4 '26Estimate
Q1 2025, reported Feb 10, 2025: actual 2.54B USD, estimate 2.33B USD, surprise +9.05%, Beat. Q2 2025, reported Apr 28, 2025: actual 2.57B USD, estimate 2.4B USD, surprise +6.75%, Beat. Q3 2025, reported Jul 28, 2025: actual 3.25B USD, estimate 2.53B USD, surprise +28.46%, Beat. Q4 2025, reported Oct 27, 2025: actual 3.73B USD, estimate 2.55B USD, surprise +46.04%, Beat. Q1 2026, reported Feb 9, 2026: actual 2.59B USD, estimate 2.55B USD, surprise +1.54%, Beat. Q2 2026, reported Apr 27, 2026: actual 2.6B USD, estimate 2.61B USD, surprise -0.13%, Miss. Q3 2026, reported Jul 27, 2026: actual 2.64B USD, estimate 2.71B USD, surprise -2.82%, Miss. Q4 2026, reported Oct 26, 2026: actual —, estimate 2.64B USD, surprise —, Comparison unavailable.

Analyst ratings

Third-party consensus; not a GoAI recommendation.

Rating distribution

17 ratings
Strong buy00%
Buy741%
Hold953%
Sell16%
Strong sell00%

CINF peers

ETFs holding CINF

Funds reporting this stock among their holdings, ordered by reported position size.

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