Factor Report

Data as of market close on 8/12/2022.

Validea's factor report analyzes any stock using the major investing factors, including value, quality, momentum, and low volatility.
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CINCINNATI FINANCIAL CORPORATION (CINF)

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Latest Close: $104.33 Market Cap ($ mil): $16,359 Sector: Financial Industry: Insurance (Prop. & Casualty) 52 Week High: $143.22 52 Week Low: $93.41 Relative Strength: 52 Twelve Minus One Return: -4.9% Standard Deviation: 40.7%
PE Ratio: 31.9 Price/Sales: 2.3 Price/Book: 1.6 Price/Cash Flow: 25.4 EV/EBITDA: 20.54 Yield: 2.64% Shareholder Yield: 3.21% F Score: 6 G Score: 4
Return on Equity: 4.8% Return on Assets: 1.8% Return on Tangible Capital: N/A Return on Invested Capital: 4.9% WACC: 4.8% Debt/Equity: 0.08 LT EPS Growth: 49.6% LT Sales Growth: 15.6% Beta: 0.56
Cincinnati Financial Corporation is engaged in the business of property casualty insurance, which markets through independent insurance agencies in approximately 46 states. The Company's subsidiaries include The Cincinnati Insurance Company, Cincinnati Global Underwriting Ltd.SM, CSU Producer Resources Inc. and CFC Investment Company. It has five segments. Its Commercial Lines Insurance segment includes five commercial business lines, including commercial casualty, commercial property, commercial auto, workers' compensation and other commercial lines. Its Personal lines insurance segment includes three business lines, personal auto, homeowner and other personal lines. Its Excess and Surplus Lines Insurance Segment includes commercial casualty and commercial property. Its Life Insurance segment includes term life insurance, worksite products, whole life insurance and universal life insurance. Its Investments segment invests in fixed-maturity investments and equity investments.

Factor Profile

CINF's exposure to the major factors (100 is highest).

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