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Balance Sheet - Chubb Ltd (CB)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 42.59 39.19 33.79 92.19 97.91 96.79 91.32 82.73 83.23 84.10 55.81 52.37 51.60 50.15 44.88 2.76 2.34 4.22 3.14 3.02
Accounts receivable, net 37.87 34.49 33.61 30.83 28.90 26.07 25.54 26.07 24.37 22.55 16.71 17.42 16.25 16.23 17.03 4.23 3.67 3.45 3.54 18.16
Inventories -61.28 65.03 -24.32 -25.36 -22.61 0.20 0.18 0.18 0.19 0.22 0.22 0.24 0.00 0.00 1.67 3.35
Other current assets 6.57 -73.68 -67.40 25.45 -126.81 25.36 22.61 3.29 4.73 2.22 0.65 -1.02 -13.21 -14.55 -1.23 49.42 68.04 60.64 62.68 43.22
Total current assets 87.03 14.43 21.15 123.33 1.66 27.82 27.08 112.29 112.51 109.05 73.35 68.99 54.86 52.07 60.68 56.41 74.05 68.31 69.36 64.40
Total non-current assets + 185.30 27.56 179.56 128.06 198.40 134.75 125.86 55.48 54.52 50.74 29.02 29.26 39.65 40.48 26.83 26.94 3.93 3.75 2.73 2.73
Total assets 272.33 246.55 230.68 199.12 200.05 190.77 176.94 167.77 167.02 159.79 102.37 98.25 94.51 92.55 87.51 83.36 77.98 72.06 72.09 67.14
Total current liabilities + 140.29 0.80 1.46 23.86 67.27 20.76 19.26 105.06 103.99 98.59 63.48 65.00 61.57 61.65 31.74 57.02 0.27 0.61 0.48 8.36
Total non-current liabilities + 52.26 177.35 165.53 23.86 54.77 15.84 14.36 12.40 11.86 12.92 9.70 3.67 4.12 3.36 61.58 3.36 14.46 13.61 54.93 52.12
Total liabilities 192.55 178.15 166.99 148.58 140.34 131.33 121.61 117.46 115.85 111.51 73.23 68.66 65.69 65.01 50.43 60.38 58.31 57.61 55.41 52.86
Total stockholders' equity + 73.76 64.02 59.51 50.54 59.71 59.44 55.33 50.31 51.17 48.28 29.14 29.59 28.83 27.53 24.52 22.97 19.67 14.45 16.68 14.28
Common shares outstanding 397 412 414 424 443 453 459 467 471 466 329 339 344 343 341 341 338 333 337 334
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Balance Sheet - Chubb Ltd (CB)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 43.58 42.59 41.99 40.37 38.86 39.19 39.91 36.29 35.89 33.79 8.04 103.17 117.90 92.19 90.40 92.62 94.62 97.91 97.83 98.48 96.49 96.79 96.22 92.27 86.63 91.32 89.36 87.49 85.01 82.73 82.39 82.13 83.97 83.23 87.77 85.59 84.65 84.10 85.78 84.59 82.01 55.81 51.12 51.55 53.89 52.37 52.71 54.30 52.98 51.60 51.07 50.12 51.70 50.15 3.12 2.88 2.81 44.88 3.14 3.21 3.49 2.76 41.59 2.77 2.78 2.34 2.60 2.74 4.75 4.22 3.49 3.72 33.13 3.14 33.14 31.21 30.57 3.02 3.55 3.68 2.85
Accounts receivable, net 17.10 37.87 36.83 36.67 35.64 34.49 35.61 35.58 33.37 33.61 33.66 32.84 30.48 30.83 31.90 30.74 29.42 28.90 28.37 27.45 26.69 26.28 26.46 26.26 25.15 25.54 25.93 26.38 25.96 26.07 25.28 25.13 24.55 24.37 24.35 23.02 22.65 22.55 21.94 21.77 20.58 16.90 16.52 17.53 16.61 17.64 16.13 16.08 15.52 16.47 16.57 16.46 15.68 16.23 5.29 4.99 4.49 17.03 5.40 4.92 4.10 4.23 3.69 3.96 3.69 3.67 3.63 4.02 3.85 3.45 3.51 4.09 17.72 3.54 17.54 18.00 18.06 18.16 18.61 19.39 19.48
Inventories -18.39 -71.10 -69.26 -15.83 -46.34 -27.46 60.12 65.03 -26.06 54.78 68.44 72.15 70.66 70.03 88.08 0.20 0.20 0.20 0.21 0.20 0.18 0.18 0.19 0.20 0.19 0.18 0.20 0.20 0.19 0.00 0.19 0.20 0.22 0.00 0.23 0.23 0.22 0.00 0.24 0.24 0.23 0.24 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2.10 2.05 0.00 1.85 0.00 3.03
Other current assets -19.74 6.57 -62.52 -77.04 -74.50 -73.68 -75.52 -71.87 -69.26 -67.40 29.45 -136.01 25.02 25.45 -122.31 -123.36 -124.04 -126.81 25.76 26.81 -123.18 -123.07 -122.68 -118.53 -111.78 16.92 -100.77 -19.45 -97.00 3.29 -93.15 -92.96 -94.27 4.73 -98.68 -95.20 -94.76 2.22 -95.00 -93.39 3.59 0.65 0.87 0.52 -0.86 -1.02 -13.93 -13.11 -13.50 -13.21 -13.49 -14.11 -14.65 -14.55 44.08 42.13 13.32 -1.23 53.12 52.81 50.36 49.42 9.87 30.14 30.47 68.04 31.12 31.53 33.34 60.64 26.63 34.63 48.13 62.68 48.24 46.75 45.68 43.22 41.61 39.62 39.81
Total current assets 87.03 16.31 16.78 15.36 14.43 20.08 2.40 2.51 2.45 19.36 2.29 117.90 123.33 2.13 7.12 1.73 1.66 126.41 126.12 1.68 1.75 1.71 1.56 1.51 117.05 14.72 94.62 14.18 112.29 14.73 14.51 14.43 112.51 13.63 13.61 12.72 109.05 12.91 13.17 106.37 73.35 68.71 69.81 69.87 68.99 55.14 57.51 55.22 54.86 54.39 52.72 52.96 52.07 52.48 49.99 61.99 60.68 61.67 60.95 57.96 56.41 55.15 76.32 75.45 74.05 74.05 71.90 69.39 68.31 8.77 74.16 71.16 69.36 69.22 68.29 67.04 64.40 63.78 62.69 62.14
Total non-current assets + 26.59 185.30 27.97 28.20 27.88 27.56 28.15 236.15 232.36 228.23 26.59 203.16 21.54 128.06 195.98 188.53 196.26 198.40 135.50 136.35 190.29 189.03 186.08 179.92 171.62 126.17 160.43 79.90 157.17 55.48 152.96 153.02 154.35 54.52 153.95 149.38 148.24 50.74 148.90 147.03 50.28 29.02 29.05 30.03 28.53 29.26 42.41 39.94 39.96 39.65 40.20 40.97 40.51 40.48 41.03 40.71 27.76 26.83 27.05 28.31 28.26 26.94 27.24 3.84 3.88 3.93 3.77 3.76 3.74 3.75 3.82 3.61 2.76 2.73 2.73 2.73 2.73 2.73 2.66 2.70 2.70
Total assets 275.46 272.33 270.21 261.56 251.75 246.55 250.56 238.55 234.87 230.68 222.75 205.45 201.42 199.12 198.11 195.65 197.99 200.05 199.05 197.17 191.98 190.77 187.79 181.47 173.13 176.94 175.15 174.52 171.35 167.77 167.68 167.53 168.78 167.02 167.42 162.99 160.97 159.79 161.81 160.20 156.64 102.37 97.76 99.84 98.40 98.25 97.56 97.45 95.18 94.51 94.58 93.69 93.46 92.55 93.51 90.70 89.75 87.51 88.72 89.25 86.22 83.36 82.39 80.16 79.33 77.98 77.82 75.66 73.13 72.06 75.16 77.78 73.92 72.09 71.95 71.02 69.77 67.14 66.43 65.39 64.85
Total current liabilities + 1.50 140.29 1.50 1.50 0.80 1.57 78.55 76.73 74.23 0.70 70.25 1.84 23.86 70.59 70.75 68.16 67.27 22.57 22.11 63.39 61.89 63.22 61.28 57.45 19.26 106.98 107.04 106.61 105.06 104.29 104.07 104.40 103.99 105.24 100.66 99.14 98.59 100.51 100.04 97.80 63.48 64.17 65.82 64.23 65.00 63.17 62.76 61.69 61.57 62.25 62.59 61.21 61.65 63.19 61.58 1.73 31.74 61.61 61.78 59.49 57.02 0.42 0.32 0.37 0.27 0.36 0.33 0.63 0.61 0.33 1.08 1.54 0.48 0.26 0.25 0.85 0.73 0.67 0.94 0.48
Total non-current liabilities + 194.04 52.26 190.90 185.62 181.00 178.15 178.87 72.03 71.08 165.53 164.54 60.01 146.59 23.86 57.57 51.90 52.09 54.77 22.57 22.11 50.56 52.71 49.52 47.30 45.82 14.36 13.59 13.68 12.38 12.40 12.46 12.49 13.09 11.86 11.87 11.98 12.61 12.92 12.93 12.94 12.94 9.70 4.47 4.47 4.47 3.67 4.37 4.37 4.12 4.12 4.12 3.81 4.31 3.36 3.36 3.36 62.59 61.58 3.36 3.36 3.36 3.36 59.13 58.43 58.32 14.46 58.73 58.76 57.78 13.61 59.47 60.37 55.65 54.93 55.66 55.58 53.97 52.12 52.26 51.99 52.21
Total liabilities 195.54 192.55 192.40 187.12 181.00 178.15 180.44 173.98 170.44 166.99 165.24 152.57 148.43 148.58 150.47 143.98 141.29 140.34 139.74 137.11 132.90 131.33 131.37 126.71 120.93 121.61 120.58 120.71 118.99 117.46 116.75 116.56 117.49 115.85 116.95 112.64 111.74 111.51 113.44 112.98 110.75 73.23 68.63 70.29 68.70 68.66 67.54 67.12 65.81 65.69 66.37 66.39 65.52 65.01 66.55 64.94 64.32 62.99 64.97 65.14 62.84 60.38 59.54 58.75 58.69 58.31 59.09 59.09 58.41 57.61 59.80 61.45 57.18 55.41 55.92 55.84 54.82 52.86 52.92 52.92 52.69
Total stockholders' equity + 73.79 73.76 71.86 69.40 65.73 64.02 65.76 61.04 60.54 59.51 52.37 52.88 52.99 50.54 47.64 51.67 56.70 59.71 59.32 60.06 59.08 59.44 56.41 54.76 52.20 55.33 54.57 53.80 52.36 50.31 50.93 50.97 51.29 51.17 50.47 50.35 49.22 48.28 48.37 47.23 45.90 29.14 29.13 29.56 29.70 29.59 30.02 30.33 29.37 28.83 28.22 27.30 27.94 27.53 26.96 25.76 25.43 24.52 23.75 24.11 23.38 22.97 22.85 21.41 20.64 19.67 18.73 16.56 14.72 14.45 15.36 16.33 16.74 16.68 16.04 15.18 14.96 14.28 13.51 12.47 12.16
Common shares outstanding 395 397 403 404 405 428 408 409 410 411 413 416 418 419 420 425 430 433 438 448 453 453 453 451 455 456 458 460 462 463 466 468 469 469 466 472 473 472 471 471 450 447 327 329 332 328 338 341 342 339 344 344 344 344 343 343 342 339 341 342 340 337 342 341 340 339 338 338 336 335 333 335 333 337 331 330 334 329 334 333 335
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