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Cincinnati Financial Corporation

Informe acción NasdaqGS:CINF

Capitalización de mercado: US$25.9b

  • Resumen empresa
    • Valoración
    • Crecimiento Futuro
    • Rendimiento pasado
    • Salud Financiera
    • Dividendos
  • Dirección
  • Propiedad
  • Información adicional
  • Comunidad de acciones

Cincinnati Financial Resultados de beneficios anteriores

Pasado controles de criterios 5/6

Cincinnati Financial ha aumentado sus beneficios a una tasa media anual de 11%, mientras que los beneficios de la industria de Insurance han experimentado un crecimiento de 14.7% anual. Los ingresos han ido creciendo a una tasa media de 10.9% al año. La rentabilidad financiera de Cincinnati Financial es de 20%, y sus márgenes netos son de 23.8%.

Información clave

10.97%

Tasa de crecimiento de los beneficios

11.88%

Tasa de crecimiento del BPA

Crecimiento de la industria Insurance 8.02%
Tasa de crecimiento de los ingresos10.92%
Rentabilidad financiera19.96%
Margen neto23.84%
Última actualización de beneficios30 Jun 2026

Actualizaciones de resultados anteriores recientes

Recent updates

User avatar
Actualización de narrativa • Jul 30

CINF: Fair Outlook Balances Slower Homeowners Momentum And Catastrophe Loss Volatility

Analysts have modestly lifted the fair value estimate for Cincinnati Financial to $190.0, supported by Street research that points to mixed views on growth momentum, catastrophe loss volatility, and relative valuation across the P&C insurance group. Analyst Commentary Street research on Cincinnati Financial shows a mix of optimism and caution.
Seeking Alpha • Jul 29

Cincinnati Financial: The Equity Portfolio Saved Q2, But Commercial Lines Need Attention

Summary Cincinnati Financial Corporation reported strong Q2 net income driven by $1.3B in pre-tax investment gains, primarily from its sizable equity portfolio. Operating EPS declined to $1.43 as catastrophe losses and weaker Commercial Lines underwriting offset rising recurring investment income. Commercial Lines produced a 104.1% Q2 combined ratio and remained unprofitable for H1, with deterioration extending beyond catastrophe losses. Personal Lines remediation is progressing, while lower new-business production suggests management is prioritizing pricing adequacy over policy growth. At approximately 1.7x book value, Cincinnati’s dividend record and investment portfolio support the valuation, but weaker commercial margins justify a Hold. Read the full article on Seeking Alpha
User avatar
Actualización de narrativa • Jul 16

CINF: Earnings Resilience And Cat Risk Containment Will Support Fair P/E Outlook

The analyst fair value estimate for Cincinnati Financial has increased by $4 to $185.50, as analysts factor in higher Street price targets clustered around $197 and highlight expectations for relatively contained catastrophe exposure and resilience in selected insurance segments, even as market conditions show signs of softening. Analyst Commentary Recent Street research around Cincinnati Financial centers on shifting views of risk, pricing trends in commercial insurance, and where the stock sits relative to current expectations.
Artículo de análisis • Jun 17

Cincinnati Financial (CINF) Stock Could Be 5.3% Undervalued After CIO Retirement

Cincinnati Financial (CINF) recently announced the retirement of its Chief Information Officer, drawing attention to how leadership in technology and data may influence the company’s operations and how investors think about the stock. See our latest analysis for Cincinnati Financial. Cincinnati Financial’s recent 1-day share price return of 1.45% and 7-day share price return of 3.22%, alongside a 1-year total shareholder return of 20.61% and 3-year total shareholder return of 87.74%, point to...
User avatar
Actualización de narrativa • Jun 15

CINF: Underwriting And Investment Gains Will Guide Fairly Valued Future P/E Range

Analysts have raised their central price target on Cincinnati Financial by $14 to $175, citing recent stock performance, the passage of time in their models, and relatively stronger underwriting trends for insurance carriers compared with brokers as key drivers of the reassessment. Analyst Commentary Recent Street research on Cincinnati Financial points to a mixed but generally constructive read on the stock, with several firms revising price targets around the US$175 level and a few trimming targets at the margin.
User avatar
Actualización de narrativa • Jun 01

CINF: Strong Underwriting And Q1 Results Will Shape Future P/E Range

Analysts have nudged the fair value estimate for Cincinnati Financial higher to $181.50. This reflects a series of upward price target revisions that lean on recent stock performance, a roll forward of time, and relatively stronger underwriting results for carriers compared with insurance brokers.
User avatar
Actualización de narrativa • May 13

CINF: Steady Buybacks And New Assumptions Will Shape Future P/E Range

Narrative Update: Cincinnati Financial Cincinnati Financial's analyst price target has moved higher by about $6, as analysts factor in updated fair value estimates near $179, a slightly higher discount rate, lower revenue growth and profit margin assumptions, and a higher future P/E multiple. Analyst Commentary Recent Street research on Cincinnati Financial has focused on incremental adjustments to price targets, with a mix of small increases and small cuts over a relatively short period.
User avatar
Actualización de narrativa • Apr 25

CINF: Steady Buybacks And Higher Dividend Will Support Future P/E Assumptions

Analysts have lowered their price targets on Cincinnati Financial by $1, reflecting slightly adjusted assumptions around fair value, revenue growth, profit margin, and future P/E, while keeping the broader investment thesis intact. Analyst Commentary Recent Street research on Cincinnati Financial points to only a modest $1 trim in price targets, which suggests analysts are fine-tuning their models rather than rethinking the core story.
User avatar
Actualización de narrativa • Apr 10

CINF: Dividend Policy, Buybacks And P/E Expectations Will Shape Future Returns

Analysts have trimmed their price target on Cincinnati Financial by $1 to $173.50, citing updated assumptions around revenue growth, profit margins, and future P/E expectations. Analyst Commentary Analysts trimming the price target to $173.50 reflects a more measured view on how Cincinnati Financial might balance growth, profitability, and valuation from here.
User avatar
Actualización de narrativa • Mar 27

CINF: Pricing Pressures, Loss Costs And Dividend Increases Will Shape Returns

Analysts' price targets for Cincinnati Financial have shifted within a relatively tight range, with one firm raising its view to $191 from $180 while another trimmed its target to $180 from $186. This reflects differing read‑throughs on P&C pricing trends and loss cost pressures, even as valuation commentary remains measured.
User avatar
Actualización de narrativa • Mar 10

CINF: Pricing Pressures And Dividend Increases Will Shape Future Earnings Resilience

Analysts have nudged Cincinnati Financial's average price target higher to reflect a range of recent revisions, including a move to $191 from $180 and another to $180 from $186, citing mixed but still constructive views on P&C pricing trends and underwriter valuations. Analyst Commentary Recent research shows a split view on Cincinnati Financial, with some bullish analysts lifting their fair value estimates and others trimming them while still maintaining positive ratings.
User avatar
Actualización de narrativa • Feb 24

CINF: Pricing Pressures And Dividend Growth Will Shape Future Earnings Quality

Analysts have nudged their average price target on Cincinnati Financial slightly higher to $191 from $186. The small fair value adjustment reflects mixed views on P&C pricing trends, rising loss costs, and continuing supportive opinions on underwriter valuations.
User avatar
Actualización de narrativa • Feb 10

CINF: Pricing Headwinds And Dividend Progress Will Shape Earnings Quality

Analysts have nudged our fair value estimate for Cincinnati Financial up from $173.67 to $174.80. This reflects updated views on pricing trends in key P&C lines and current valuation assessments behind the recent Street price target revisions between $180 and $191.
User avatar
Actualización de narrativa • Jan 24

CINF: Q3 Execution And Buybacks Will Counter Sector Pricing Pressures In 2025

Narrative update The analyst price target for Cincinnati Financial has been adjusted slightly lower to align with a fair value estimate of about $173.67, as analysts weigh mixed recent Street targets and modest tweaks to assumptions around revenue growth, profit margins, and the future P/E multiple. Analyst Commentary Recent Street research around Cincinnati Financial reflects a mix of optimism on earnings power and valuation, alongside caution around sector level pricing and loss cost trends in property and casualty insurance.
User avatar
Actualización de narrativa • Jan 10

CINF: Calm Q3 And Share Buybacks Will Shape Balanced 2025 Outlook

Narrative Update The analyst price target for Cincinnati Financial has shifted modestly higher to US$174.67 from US$172.67 as analysts factor in updated Street research that includes a mix of target increases and trims, along with revised views on pricing conditions and earnings forecasts. Analyst Commentary Recent research around Cincinnati Financial shows a mix of optimism on execution and earnings power, paired with caution on pricing trends across property and casualty insurance lines.
User avatar
Actualización de narrativa • Dec 21

CINF: Calm Catastrophe Season And Q3 Beat Will Support Future Stability

Analysts modestly raised their price target on Cincinnati Financial to $186 from $184, citing stronger earnings flowing through updated models and a more favorable near term insurance backdrop following a relatively calm catastrophe season. Analyst Commentary Bullish analysts highlight that the recent Q3 earnings beat supports a higher valuation framework, with rising EPS forecasts giving greater confidence in the durability of Cincinnati Financial's profit trajectory.
User avatar
Actualización de narrativa • Dec 06

CINF: Calm Catastrophe Season And Q3 Beat Will Sustain Fair Value

Analysts have nudged their price target for Cincinnati Financial slightly higher to $186 from $184, reflecting improved earnings forecasts as stronger than expected Q3 results flow through models. A relatively calm catastrophe season supports more confident revenue growth assumptions, despite modestly lower profit margin expectations.
User avatar
Actualización de narrativa • Nov 22

CINF: Q3 Performance And Calm Weather Are Expected To Sustain Current Fair Value

Analysts have increased their price target for Cincinnati Financial, raising it from $171 to approximately $173 per share. They cite stronger-than-expected Q3 earnings and a stable macro environment as key drivers for the upward revision.
User avatar
Actualización de narrativa • Nov 05

CINF: Fair Value Supported By Q3 Results Despite Weather And Macro Risks Ahead

Cincinnati Financial's fair value price target has increased by $3.17 to $171.00. Analysts cite stronger-than-expected Q3 results and a stable macro environment in their updated projections.
User avatar
Actualización de narrativa • Oct 22

Analysts Lift Cincinnati Financial Price Target on Resilient Earnings and Lower Catastrophe Risks

Analysts have raised their price target for Cincinnati Financial by $3 to $167.83, supported by improved revenue growth forecasts and expectations for lower catastrophe losses. Analyst Commentary Recent adjustments to Cincinnati Financial's price targets reflect a generally optimistic outlook from equity analysts, bolstered by both favorable recent business developments and updated industry assumptions.
User avatar
Actualización de narrativa • Oct 08

Overvaluation Will Exacerbate Catastrophe Risks And Insurtech Pressures

Analysts have modestly raised their price target for Cincinnati Financial to $178 from $167, citing updated forecasts that factor in lower catastrophe loss ratios and greater reserve releases, even though premium growth has slowed. Analyst Commentary Recent updates from Street research highlight varying analyst perspectives on Cincinnati Financial's outlook, with both bullish and cautious views informing the revised price target.
Seeking Alpha • Jan 23

Cincinnati Financial: This Dividend King Is Still Buyable Now

Summary Cincinnati Financial has established itself as one of the most reliable dividend growth stocks in the investment universe. The property and casualty insurer continues to have a future full of growth ahead of itself. CINF enjoys investment-grade credit ratings from the major rating agencies. Shares could be priced 13% below fair value. If it matches growth expectations and returns to fair value, CINF could post nearly 30% cumulative total returns by the end of 2026. Read the full article on Seeking Alpha
Seeking Alpha • Dec 26

Revisiting Cincinnati Financial: A Unique Investment Strategy For A Fairly-Valued Steady Dividend Aristocrat

Summary Cincinnati Financial's stock has surged 30.4% since April 2024, driven by strong Q3 results and a unique equity portfolio strategy. The company reported Q3 diluted EPS of $5.2, with a combined ratio of 97.4%, despite higher catastrophe losses and inflationary pressures. Investment income grew 15% in Q3 2024, with a year-to-date increase of 13%, driven by a robust equity portfolio and stable fixed-income yields. Cincinnati Financial is fairly valued at $145 per share, with a book value per share of $88.32, suggesting a solid hold for current shareholders. Read the full article on Seeking Alpha

Desglose de ingresos y gastos

Cómo gana y gasta dinero Cincinnati Financial. Basado en los últimos beneficios reportados, en base a los últimos doce meses (LTM).


Historial de beneficios e ingresos

NasdaqGS:CINF Ingresos, gastos y beneficios (USD Millions)
FechaIngresosBeneficiosGastos G+AGastos de I+D
30 Jun 2613,9543,32700
31 Mar 2612,9282,75700
31 Dec 2512,6312,39300
30 Sep 2512,0782,12200
30 Jun 2511,6721,82000
31 Mar 2510,9681,44700
31 Dec 2411,3372,29200
30 Sep 2412,1553,07000
30 Jun 2410,6462,15100
31 Mar 2410,7072,37300
31 Dec 2310,0131,84300
30 Sep 239,7721,67300
30 Jun 239,3711,35600
31 Mar 237,586400
31 Dec 226,563-48700
30 Sep 226,771-3000
30 Jun 227,14653900
31 Mar 228,6212,06000
31 Dec 219,6262,96800
30 Sep 219,0012,52500
30 Jun 219,4432,85600
31 Mar 219,8623,06200
31 Dec 207,5361,21600
30 Sep 206,99479300
30 Jun 206,46755700
31 Mar 205,6667600
31 Dec 197,9241,99700
30 Sep 196,48291900
30 Jun 196,6971,22400
31 Mar 196,3421,01300
31 Dec 185,40728700
30 Sep 186,1081,38100
30 Jun 185,60593000
31 Mar 185,43381300
31 Dec 175,7321,04500
30 Sep 175,63350300
30 Jun 175,62358100
31 Mar 175,60860400
31 Dec 165,44959100
30 Sep 165,40064700
30 Jun 165,27664100
31 Mar 165,22169400
31 Dec 155,14263400
30 Sep 155,14164500

Ingresos de calidad: CINF tiene ganancias de alta calidad.

Margen de beneficios creciente: Los actuales márgenes de beneficio (23.8%) de CINF son superiores a los del año pasado (15.6%).


Análisis del flujo de caja libre vs. Beneficios


Análisis del crecimiento de los beneficios en el pasado

Tendencia de beneficios: Los beneficios de CINF han crecido un 11% al año en los últimos 5 años.

Acelerando crecimiento: El crecimiento de los beneficios de CINF en el último año (82.8%) supera su media de 5 años (11% al año).

Beneficios vs. Industria: El crecimiento de los beneficios de CINF en el último año (82.8%) superó al de la industria Insurance 27.3%.


Rentabilidad financiera

Alta ROE: La rentabilidad financiera de CINF (20%) se considera baja.


Rentabilidad económica


Rendimiento del capital invertido


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Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/09/21 16:48
Precio de las acciones al final del día2026/09/21 00:00
Beneficios2026/06/30
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
  • Formulario SEC 10-K
  • Formulario SEC 10-Q
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
  • Informes de análisis
  • Blue Matrix
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
  • Datos de mercado ICE
  • Formulario S-1 de la SEC
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
  • Formulario SEC 4
  • Formulario SEC 13D
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
  • Formulario SEC 10-K
  • Formulario SEC DEF 14A
Principales avances10 años
  • Anuncios de empresas
  • Formulario SEC 8-K

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

Cincinnati Financial Corporation está cubierta por 17 analistas. 6 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
Michael ZaremskiBMO Capital Markets Equity Research
Joshua ShankerBofA Global Research
Robert FarnamBrean Capital Historical (Janney Montgomery)

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