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CI Cigna Group

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  • 334.750
  • -0.430-0.13%
Close May 2 16:00 ET
  • 334.750
  • 0.0000.00%
Post 20:01 ET
90.31BMarket Cap18.66P/E (TTM)

Cigna Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-60.33%1.92B
-12.27%10.36B
255.28%5.21B
-98.37%46M
-89.37%265M
-3.74%4.84B
36.47%11.81B
-30.11%1.47B
-13.92%2.83B
100.32%2.49B
Net income from continuing operations
764.62%1.41B
-29.67%3.78B
38.75%1.54B
-43.06%825M
7.88%1.63B
-116.23%-212M
-20.79%5.37B
-9.41%1.11B
-47.84%1.45B
-3.82%1.51B
Operating gains losses
-102.10%-39M
72.04%2.71B
-113.10%-198M
2,780.00%1.01B
284.62%48M
3,212.50%1.86B
234.21%1.58B
2,156.72%1.51B
102.12%35M
-129.21%-26M
Deferred tax
-111.76%-216M
94.27%-95M
118.88%256M
-58.33%-152M
2.02%-97M
5.56%-102M
-251.48%-1.66B
-679.31%-1.36B
28.36%-96M
-230.00%-99M
Change in working capital
-96.40%92M
-65.83%1.19B
629.77%2.97B
-440.03%-2.29B
-683.24%-2.05B
-15.44%2.56B
497.26%3.49B
-325.30%-561M
-57.09%672M
130.77%352M
-Change in receivables
7.45%-2.42B
-256.68%-7.85B
647.44%3.1B
-414.33%-3.09B
-736.46%-5.25B
-543.49%-2.62B
-19.41%-2.2B
-137.24%-567M
-194.64%-600M
65.87%-628M
-Change in loss and loss adjustment expense reserves
234.21%1.78B
-201.20%-591M
58.02%-377M
63.67%-89M
-438.66%-657M
-65.30%532M
273.81%584M
-20.70%-898M
-158.89%-245M
229.33%194M
-Change in payables and accrued expense
-129.11%-1.04B
79.55%9.9B
-9.82%1.74B
-74.68%355M
343.10%4.24B
190.40%3.57B
57.73%5.51B
10.19%1.92B
113.07%1.4B
-11.40%956M
-Change in other current assets
49.46%1.52B
-18.89%-1.03B
-31.03%-1.61B
8.25%105M
-79.21%-543M
79.33%1.02B
17.73%-868M
-61.79%-1.23B
140.93%97M
-7.83%-303M
-Change in other working capital
326.23%260M
67.17%774M
-42.79%119M
2,288.89%430M
23.31%164M
-41.35%61M
42.46%463M
-15.10%208M
-81.05%18M
177.08%133M
Cash from discontinued operating activities
Operating cash flow
-60.33%1.92B
-12.27%10.36B
255.28%5.21B
-98.37%46M
-89.37%265M
-3.74%4.84B
36.47%11.81B
-30.11%1.47B
-13.92%2.83B
100.32%2.49B
Investing cash flow
Cash flow from continuing investing activities
341.82%1.2B
59.37%-2.1B
56.59%-191M
41.96%-776M
-54.59%-640M
83.41%-495M
-267.01%-5.17B
28.57%-440M
-130.07%-1.34B
-1.47%-414M
Net investment purchase and sale
-1,318.18%-780M
91.46%-248M
-97.06%2M
63.24%-150M
-800.00%-45M
97.85%-55M
-1,289.00%-2.9B
186.08%68M
-292.31%-408M
89.36%-5M
Net proceeds payment for loan
282.14%51M
97.06%134M
43.42%109M
229.03%40M
-31.58%13M
-800.00%-28M
207.94%68M
246.15%76M
-875.00%-31M
190.48%19M
Net PPE purchase and sale
-9.00%-327M
10.62%-1.41B
7.67%-337M
0.99%-399M
6.80%-370M
26.47%-300M
-21.47%-1.57B
-5.80%-365M
-19.23%-403M
-22.53%-397M
Net business purchase and sale
--2.35B
189.86%390M
13,150.00%522M
71.12%-132M
--0
--0
-108.98%-434M
-33.33%-4M
-109.34%-457M
--5M
Net other investing changes
16.96%-93M
-192.77%-972M
-126.51%-487M
-255.26%-135M
-561.11%-238M
-160.47%-112M
-95.29%-332M
-56.93%-215M
-245.45%-38M
-125.00%-36M
Cash from discontinued investing activities
Investing cash flow
341.82%1.2B
59.37%-2.1B
56.59%-191M
41.96%-776M
-54.59%-640M
83.41%-495M
-267.01%-5.17B
28.57%-440M
-130.07%-1.34B
-1.47%-414M
Financing cash flow
Cash flow from continuing financing activities
-45.55%-3.68B
-78.09%-7.65B
-159.84%-3.25B
117.07%439M
-430.80%-2.31B
-6,735.14%-2.53B
61.80%-4.29B
52.58%-1.25B
53.38%-2.57B
52.51%-435M
Net issuance payments of debt
-184.27%-1.59B
481.29%1.06B
-168.53%-768M
152.52%833M
-565.10%-893M
34.66%1.89B
89.14%-278M
43.70%-286M
12.23%-1.59B
-12.33%192M
Net common stock issuance
62.54%-1.44B
-220.89%-6.73B
-325.53%-2B
110.88%62M
-660.00%-950M
-312.12%-3.84B
70.95%-2.1B
71.70%-470M
83.24%-570M
85.83%-125M
Cash dividends paid
-2.74%-412M
-8.07%-1.57B
-7.26%-384M
-7.73%-390M
-8.29%-392M
-8.97%-401M
-4.77%-1.45B
-7.19%-358M
-6.16%-362M
-2.84%-362M
Net other financing charges
-36.57%-239M
12.37%-411M
29.41%-96M
-22.22%-66M
47.14%-74M
-25.90%-175M
-493.67%-469M
-2.26%-136M
-274.19%-54M
-241.41%-140M
Cash from discontinued financing activities
Financing cash flow
-45.55%-3.68B
-78.09%-7.65B
-159.84%-3.25B
117.07%439M
-430.80%-2.31B
-6,735.14%-2.53B
61.80%-4.29B
52.58%-1.25B
53.38%-2.57B
52.51%-435M
Net cash flow
Beginning cash position
7.12%8.93B
39.51%8.34B
-15.94%7.18B
-22.61%7.46B
26.97%10.14B
39.51%8.34B
7.71%5.98B
20.08%8.55B
95.73%9.64B
57.89%7.99B
Current changes in cash
-131.06%-564M
-73.82%614M
895.07%1.77B
73.13%-291M
-263.36%-2.68B
-9.56%1.82B
356.23%2.35B
80.66%-223M
-148.96%-1.08B
2,153.75%1.64B
Effect of exchange rate changes
200.00%9M
-225.00%-20M
-285.71%-26M
357.14%18M
-175.00%-3M
-280.00%-9M
118.60%16M
16.67%14M
61.11%-7M
107.02%4M
End cash position
-17.43%8.38B
7.12%8.93B
7.12%8.93B
-15.94%7.18B
-22.61%7.46B
26.97%10.14B
39.51%8.34B
39.51%8.34B
20.08%8.55B
95.73%9.64B
Free cash flow
-64.91%1.59B
-12.53%8.96B
342.38%4.88B
-114.57%-353M
-105.01%-105M
-1.73%4.54B
39.11%10.24B
-37.17%1.1B
-17.72%2.42B
127.72%2.1B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -60.33%1.92B-12.27%10.36B255.28%5.21B-98.37%46M-89.37%265M-3.74%4.84B36.47%11.81B-30.11%1.47B-13.92%2.83B100.32%2.49B
Net income from continuing operations 764.62%1.41B-29.67%3.78B38.75%1.54B-43.06%825M7.88%1.63B-116.23%-212M-20.79%5.37B-9.41%1.11B-47.84%1.45B-3.82%1.51B
Operating gains losses -102.10%-39M72.04%2.71B-113.10%-198M2,780.00%1.01B284.62%48M3,212.50%1.86B234.21%1.58B2,156.72%1.51B102.12%35M-129.21%-26M
Deferred tax -111.76%-216M94.27%-95M118.88%256M-58.33%-152M2.02%-97M5.56%-102M-251.48%-1.66B-679.31%-1.36B28.36%-96M-230.00%-99M
Change in working capital -96.40%92M-65.83%1.19B629.77%2.97B-440.03%-2.29B-683.24%-2.05B-15.44%2.56B497.26%3.49B-325.30%-561M-57.09%672M130.77%352M
-Change in receivables 7.45%-2.42B-256.68%-7.85B647.44%3.1B-414.33%-3.09B-736.46%-5.25B-543.49%-2.62B-19.41%-2.2B-137.24%-567M-194.64%-600M65.87%-628M
-Change in loss and loss adjustment expense reserves 234.21%1.78B-201.20%-591M58.02%-377M63.67%-89M-438.66%-657M-65.30%532M273.81%584M-20.70%-898M-158.89%-245M229.33%194M
-Change in payables and accrued expense -129.11%-1.04B79.55%9.9B-9.82%1.74B-74.68%355M343.10%4.24B190.40%3.57B57.73%5.51B10.19%1.92B113.07%1.4B-11.40%956M
-Change in other current assets 49.46%1.52B-18.89%-1.03B-31.03%-1.61B8.25%105M-79.21%-543M79.33%1.02B17.73%-868M-61.79%-1.23B140.93%97M-7.83%-303M
-Change in other working capital 326.23%260M67.17%774M-42.79%119M2,288.89%430M23.31%164M-41.35%61M42.46%463M-15.10%208M-81.05%18M177.08%133M
Cash from discontinued operating activities
Operating cash flow -60.33%1.92B-12.27%10.36B255.28%5.21B-98.37%46M-89.37%265M-3.74%4.84B36.47%11.81B-30.11%1.47B-13.92%2.83B100.32%2.49B
Investing cash flow
Cash flow from continuing investing activities 341.82%1.2B59.37%-2.1B56.59%-191M41.96%-776M-54.59%-640M83.41%-495M-267.01%-5.17B28.57%-440M-130.07%-1.34B-1.47%-414M
Net investment purchase and sale -1,318.18%-780M91.46%-248M-97.06%2M63.24%-150M-800.00%-45M97.85%-55M-1,289.00%-2.9B186.08%68M-292.31%-408M89.36%-5M
Net proceeds payment for loan 282.14%51M97.06%134M43.42%109M229.03%40M-31.58%13M-800.00%-28M207.94%68M246.15%76M-875.00%-31M190.48%19M
Net PPE purchase and sale -9.00%-327M10.62%-1.41B7.67%-337M0.99%-399M6.80%-370M26.47%-300M-21.47%-1.57B-5.80%-365M-19.23%-403M-22.53%-397M
Net business purchase and sale --2.35B189.86%390M13,150.00%522M71.12%-132M--0--0-108.98%-434M-33.33%-4M-109.34%-457M--5M
Net other investing changes 16.96%-93M-192.77%-972M-126.51%-487M-255.26%-135M-561.11%-238M-160.47%-112M-95.29%-332M-56.93%-215M-245.45%-38M-125.00%-36M
Cash from discontinued investing activities
Investing cash flow 341.82%1.2B59.37%-2.1B56.59%-191M41.96%-776M-54.59%-640M83.41%-495M-267.01%-5.17B28.57%-440M-130.07%-1.34B-1.47%-414M
Financing cash flow
Cash flow from continuing financing activities -45.55%-3.68B-78.09%-7.65B-159.84%-3.25B117.07%439M-430.80%-2.31B-6,735.14%-2.53B61.80%-4.29B52.58%-1.25B53.38%-2.57B52.51%-435M
Net issuance payments of debt -184.27%-1.59B481.29%1.06B-168.53%-768M152.52%833M-565.10%-893M34.66%1.89B89.14%-278M43.70%-286M12.23%-1.59B-12.33%192M
Net common stock issuance 62.54%-1.44B-220.89%-6.73B-325.53%-2B110.88%62M-660.00%-950M-312.12%-3.84B70.95%-2.1B71.70%-470M83.24%-570M85.83%-125M
Cash dividends paid -2.74%-412M-8.07%-1.57B-7.26%-384M-7.73%-390M-8.29%-392M-8.97%-401M-4.77%-1.45B-7.19%-358M-6.16%-362M-2.84%-362M
Net other financing charges -36.57%-239M12.37%-411M29.41%-96M-22.22%-66M47.14%-74M-25.90%-175M-493.67%-469M-2.26%-136M-274.19%-54M-241.41%-140M
Cash from discontinued financing activities
Financing cash flow -45.55%-3.68B-78.09%-7.65B-159.84%-3.25B117.07%439M-430.80%-2.31B-6,735.14%-2.53B61.80%-4.29B52.58%-1.25B53.38%-2.57B52.51%-435M
Net cash flow
Beginning cash position 7.12%8.93B39.51%8.34B-15.94%7.18B-22.61%7.46B26.97%10.14B39.51%8.34B7.71%5.98B20.08%8.55B95.73%9.64B57.89%7.99B
Current changes in cash -131.06%-564M-73.82%614M895.07%1.77B73.13%-291M-263.36%-2.68B-9.56%1.82B356.23%2.35B80.66%-223M-148.96%-1.08B2,153.75%1.64B
Effect of exchange rate changes 200.00%9M-225.00%-20M-285.71%-26M357.14%18M-175.00%-3M-280.00%-9M118.60%16M16.67%14M61.11%-7M107.02%4M
End cash position -17.43%8.38B7.12%8.93B7.12%8.93B-15.94%7.18B-22.61%7.46B26.97%10.14B39.51%8.34B39.51%8.34B20.08%8.55B95.73%9.64B
Free cash flow -64.91%1.59B-12.53%8.96B342.38%4.88B-114.57%-353M-105.01%-105M-1.73%4.54B39.11%10.24B-37.17%1.1B-17.72%2.42B127.72%2.1B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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