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Cincinnati Financial Corp

CINF
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171.130USD
-3.590-2.05%
Close 09-04 16:00ET
26.46BMarket Cap
9.69P/E TTM

TradingKey Stock Score of Cincinnati Financial Corp

Currency: USD Updated: 2026-09-04

Key Insights

Cincinnati Financial Corp's fundamentals are relatively stable, and its growth potential is significant.Its valuation is considered fairly valued, ranking 92 out of 115 in the Insurance industry.Institutional ownership is very high.Over the past month, multiple analysts have rated it as Hold, with the highest price target at 191.67.In the medium term, the stock price is expected to remain stable.The company has shown average stock market performance over the past month, with weak fundamentals and technicals.The stock price is trading sideways between the support and resistance levels, making it suitable for range-bound swing trading.

Cincinnati Financial Corp's Score

Industry at a Glance

Industry Ranking
92 / 115
Overall Ranking
339 / 4199
Industry
Insurance

Support & Resistance

Relevant data have not been disclosed by the company yet.

Score Analysis

Current score
Previous score

Media Coverage

Last 24 hours
Coverage Level

Very Low
Very High
Neutral

Cincinnati Financial Corp Highlights

StrengthsRisks
Cincinnati Financial Corporation offers primarily business, home and auto insurance, its main business, through The Cincinnati Insurance Company and its two standard market property casualty companies. Its segments include Commercial lines insurance, Personal lines insurance, Excess and surplus lines insurance, Life insurance, and Investments. Commercial lines insurance segment’s business includes commercial casualty, commercial property, commercial auto, workers’ compensation, and other commercial lines. Personal Lines Insurance segment’s business includes personal auto, homeowner and other personal lines. Excess and Surplus Lines Insurance segment covers commercial casualty and commercial property. Life Insurance segment’s business includes term life insurance, worksite products, whole life insurance and universal life insurance. Investments segment invests the cash it generates from insurance operations in fixed-maturity investments, equity investments and short-term investments.
High Profit Growth
The company's net income leads the industry, with the latest annual income totaling USD 11.18B.
High Dividend
The company is a high dividend payer, with the latest dividend payout ratio of 22.12%.
Fairly Valued
The company’s latest PE is 9.68, at a medium 3-year percentile range.
Institutional Selling
The latest institutional holdings are 111.21M shares, decreasing 0.26% quarter-over-quarter.
Held by Bill Nygren | OAKMX
Star Investor Bill Nygren | OAKMX holds 187.06K shares of this stock.
Lower Market Activity
The company has less investor interest, with a 20-day turnover ratio of -0.30.

Analyst Rating

Based on 10 analysts
Hold
Current Rating
191.667
Target Price
+9.70%
Upside Space

FAQs

How does TradingKey generate the Stock Score of Cincinnati Financial Corp?

The TradingKey Stock Score provides a comprehensive assessment of Cincinnati Financial Corp based on 34 indicators derived from over 100 underlying data points.
These indicators are categorised into six key dimensions: financial health, company profile, earnings forecasts, price momentum, institutional confidence, and risk assessment, collectively providing investors with a thorough analysis of Cincinnati Financial Corp’s performance and outlook.

How do we generate the financial health score of Cincinnati Financial Corp?

To generate the financial health score of Cincinnati Financial Corp, we analyse various key financial indicators across several core dimensions, including financial fundamentals, earnings quality, operational efficiency, growth potential, and shareholder returns.
By integrating these comprehensive data, the financial health score not only reflects Cincinnati Financial Corp's overall stability, operational efficiency, and growth potential but also captures the investment returns delivered to shareholders. This score aims to support rational decision-making for investors and other stakeholders. A higher score indicates a better financial health of Cincinnati Financial Corp.

How do we generate the company valuation score of Cincinnati Financial Corp?

To generate the company valuation score of Cincinnati Financial Corp, we use several key financial ratios, including P/E, P/B, P/S, and P/CF. These metrics compare Cincinnati Financial Corp’s market value to its earnings, assets, sales, and cash flow, serving as core indicators for assessing company value.
By analysing these ratios in an all-round manner, the valuation score reflects not only the market’s current perception of Cincinnati Financial Corp’s value but also its future profitability and growth potential, thereby supporting more informed investment decisions. A higher score indicates a fairer valuation of Cincinnati Financial Corp.

How do we generate the earnings forecast score of Cincinnati Financial Corp?

To calculate the earnings forecast score of Cincinnati Financial Corp, we consider various key indicators such as analyst ratings, financial forecasts, support and resistance levels, and peer comparisons:
Current ratings and price targets directly reflect analysts’ expectations, while the upside space indicates their views on the stock’s growth potential.
Financial metrics like earnings per share (EPS), revenue, net income, and earnings before interest and taxes (EBIT) are core measures for assessing profitability.
By analysing the high, median, and low ranges of the target price, we can identify price trends and determine key support and resistance levels.
Comparing these indicators against peers provides context for the stock’s performance and helps anchor more realistic expectations.
These factors together form a comprehensive earnings forecast score that accurately reflects the stock’s expected financial performance and growth potential. A higher score suggests that analysts have a more optimistic outlook on Cincinnati Financial Corp’s future.

How do we generate the price momentum score of Cincinnati Financial Corp?

When generating the price momentum score for Cincinnati Financial Corp, we examine momentum indicators including support and resistance levels as well as volume metrics.
Support levels represent price points where buying interest is strong enough to prevent further declines, while resistance levels indicate prices where selling pressure may hinder upward movement. By analysing typical price volume alongside total volume, we assess overall market activity and liquidity. These indicators help identify price trends and potential shifts, enabling more accurate predictions of future earnings.
This comprehensive approach can reflect market sentiment and enable rational forecasts of Cincinnati Financial Corp’s prices. A higher score indicates a more stable short-term price trend for Cincinnati Financial Corp.

How do we generate the institutional confidence score of Cincinnati Financial Corp?

To generate the institutional confidence score of Cincinnati Financial Corp, we analyse both the proportion of shares held by institutions and the number of shares they own. A higher institutional ownership percentage indicates strong confidence of professional investors, which is generally a positive signal about Cincinnati Financial Corp’s potential. By examining the number of shares held, we gain deeper insight into institutions’ commitment and attitude toward the stock, as institutional investors typically conduct thorough analysis before making investment decisions. Understanding institutional confidence helps us refine earnings forecasts and provides a more reliable perspective on the company’s future performance and market stability. A higher score indicates greater institutional endorsement of Cincinnati Financial Corp.

How do we generate the risk management score of Cincinnati Financial Corp?

To assess the risk management score of Cincinnati Financial Corp, we examine multiple key indicators related to returns, risk, volatility, and liquidity.
The highest and lowest daily returns reflect the potential size of gains and losses, while the Sharpe ratio measures risk-adjusted return performance. On the risk side, we analyse maximum drawdown and the return-to-drawdown ratio to identify extreme loss scenarios. Skewness helps assess the distribution of returns and whether performance may be biased. Volatility indicators—such as realised volatility and standardised true range—reveal price fluctuations. Downside risk-adjusted returns provide insight into potential losses and gains. Lastly, liquidity metrics like average turnover rate and turnover deviation indicate how actively the stock is traded.
These indicators together provide a multi-dimensional understanding of Cincinnati Financial Corp’s risk-return profile, serving as core factors of the risk management score. A higher score indicates lower risk on the side of Cincinnati Financial Corp.
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