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Cincinnati Financial (CINF)

(Delayed Data from NSDQ)

$140.65 USD

140.65
393,565

-0.18 (-0.13%)

Updated Nov 1, 2024 04:00 PM ET

After-Market: $140.68 +0.03 (0.02%) 7:58 PM ET

Zacks Rank:

This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.

Zacks Rank Definition Annualized Return
1Strong Buy24.10%
2Buy17.80%
3Hold9.50%
4Sell2.70%
5Strong Sell2.70%
S&P50011.20%

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3-Hold of 5     3    

Style Scores:

The Style Scores are a complementary set of indicators to use alongside the Zacks Rank. It allows the user to better focus on the stocks that are the best fit for his or her personal trading style.

The scores are based on the trading styles of Value, Growth, and Momentum. There's also a VGM Score ('V' for Value, 'G' for Growth and 'M' for Momentum), which combines the weighted average of the individual style scores into one score.

Value Score A
Growth Score A
Momentum Score A
VGM Score A

Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F.

As an investor, you want to buy stocks with the highest probability of success. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style.

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C Value D Growth F Momentum D VGM

Industry Rank:

The Zacks Industry Rank assigns a rating to each of the 265 X (Expanded) Industries based on their average Zacks Rank.

An industry with a larger percentage of Zacks Rank #1's and #2's will have a better average Zacks Rank than one with a larger percentage of Zacks Rank #4's and #5's.

The industry with the best average Zacks Rank would be considered the top industry (1 out of 265), which would place it in the top 1% of Zacks Ranked Industries. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%.

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Zacks Industry Rank Education -- Learn more about the Zacks Industry Rank

Top 26% (64 out of 250)

Industry: Insurance - Property and Casualty

Better trading starts here.

Zacks News

Why Should You Hold Axis Capital (AXS) in Your Portfolio?

AXIS Capital (AXS) continues to benefit from higher returns from alternative investments, lower level of catastrophe losses and prudent capital deployment.

ALL or CINF: Which P&C Insurance Industry Stock Has an Edge?

Let's see how Allstate (ALL) or Cincinnati Financial (CINF) fare in terms of some of the key metrics.

Cboe Global (CBOE) Stock Hits 52-Week High: What Lies Ahead?

Strong market position, global reach and strength in its proprietary products are likely to have driven Cboe Global's (CBOE) rally.

Why Hold Strategy is Apt for Intercontinental (ICE) Stock

Solid product and service suite along with strategic acquisitions and solid balance sheet should drive Intercontinental Exchange (ICE).

Here's Why You Should Retain Voya Financial (VOYA) Stock

Voya Financial (VOYA) is poised to benefit from its solid segmental performance, strong capital position and effective capital deployment.

Here's Why You Should Retain Palomar (PLMR) in Your Portfolio

Palomar (PLMR) is poised to grow, given its strong premium retention rates, new business, effective capital deployment and solid capital position.

Cboe Global (CBOE) Expands BIDS Block Trading in Canada

Cboe Global's (CBOE) intended launch of Cboe LIS powered by BIDS will combine MATCHNow's Conditionals Book to create an enhanced market center for block-sized liquidity in Canada

Arthur J. Gallagher (AJG) Up 52% in a Year: More Upside Left?

Strong results at Brokerage and Risk Management segments and solid cash flows continue to aid Arthur J. Gallagher (AJG).

Reasons to Add Brown & Brown (BRO) Stock to Your Portfolio

Brown & Brown's (BRO) impressive growth is driven by organic and inorganic means across all segments.

Here's Why You Should Retain Athene (ATH) in Your Portfolio

Athene (ATH) is well-poised to benefit from higher pension risk transfer premiums, growth in investment portfolio, robust capital position and effective capital deployment.

Reasons to Retain Kinsale Capital (KNSL) in Your Portfolio

Kinsale Capital's (KNSL) focus on the E&S market poises it well to deliver improved margins and lower loss ratios.

Here's Why You Should Hold Progressive (PGR) in Your Portfolio

Progressive (PGR) is poised to grow given its solid segmental performance, underwriting profitability and growing cash balance

Why Should You Hold Brighthouse (BHF) in Your Portfolio?

Brighthouse (BHF) is well poised for growth on the back of higher underwriting margin, strong annuity sales, sufficient liquidity and prudent capital deployment.

Prudential (PRU) Stock Up 39% YTD: More Room for Upside?

Solid asset-based businesses, improved margins in Group Insurance business, and international operations continue to aid Prudential (PRU).

Assurant (AIZ) Stock Up 39% in a Year: More Room for Upside?

Strong performing Global Lifestyle business and solid capital management continue to aid Assurant (AIZ).

Manulife (MFC) Stock Up 39% in a Year: More Room for Upside?

Strong Asia business, expanding wealth and asset management business and solid capital position continue to aid Manulife Financial.

W.R. Berkley (WRB) Banks on Strong Premiums & Cash Flows

W.R. Berkley (WRB) is poised to benefit from rate increases, lower travel and entertainment expenses and prudent capital deployment.

Hartford Financial (HIG) Upgrades Group Benefits Product

Hartford Financial (HIG) incorporates flexible plan designs and coverage options in its group life and disability product ProtectPro. The move is intended to cater to medical professionals' needs.

The Zacks Analyst Blog Highlights: Allstate Corp, Berkshire Hathaway, Cincinnati Financial, Everest Re Group and Alleghany Corp

The Zacks Analyst Blog Highlights: Allstate Corp, Berkshire Hathaway, Cincinnati Financial, Everest Re Group and Alleghany Corp

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P&C Insurers Brace for Yet Another Active Hurricane Season

Better pricing, prudent underwriting, increased exposure, favorable reserve development and a solid capital position help ALL, BRK.B, CINF, CB, RE, Y, SIGI withstand blows from the catastrophe events.

Cincinnati Financial (CINF) Up 8.3% Since Last Earnings Report: Can It Continue?

Cincinnati Financial (CINF) reported earnings 30 days ago. What's next for the stock? We take a look at earnings estimates for some clues.

Chubb Limited (CB) Banks on Solid Premiums, Cost Woes Stay

Chubb Limited (CB) remains poised to benefit from growing underwriting margins, effective capital deployment and improved liquidity position.

Everest Re (RE) Rides on Solid Premium Growth and Liquidity

Everest Re (RE) is poised to benefit from strong rate increases in business, effective capital deployment and solid capital position.

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Insurance Industry Gains 17% YTD: 6 Picks for Better Returns

The insurance industry is well poised to benefit from improved pricing, prudent underwriting increased adoption of technology and solid capital position. AFG, CINF, WRB, BRK.B, HCI, EIG are some industry players slated for better returns.

Cincinnati Financial (CINF) Up 122.6% in a Year: Here's Why

Cincinnati (CINF) stock rallies on the back of appointment of new agencies, growth across major line of business and robust capital position.