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TRV Stock Annual Cash Flow. Download in Excel

The Travelers Companies Inc. logo

The Travelers Companies Inc.

Sector: Financial Services   

Industry: Insurance - Property & Casualty

240.76
 
USD
  
3.05
  
(1.28%)
Previous close: 237.71  Open: 234.53  Bid: 236.24  Ask: 251.25
52 week range    
185.27   
   269.56
Mkt Cap: 55,311 M  Avg Vol (90 Days): 1,949,290
Peers   
XL / 
ALL / 
ACGL / 
Y / 
WTM / 
AFG / 
RLI / 
SIGI / 
Last updated: Monday 23rd December 2024

Stock Rankings

30
Technical
63
Quality
How are these ranks calculated?
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Financials

TRV Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current liabilities-704 M-1,075 M-257 M1,460 M1,246 M1,047 M2,622 M2,388 M2,050 M2,843 M
(Increase) Decrease in other working capital63 M56 M189 M-343 M190 M535 M129 M
Acquisitions70 M-126 M-21 M-439 M-4 M-38 M-4 M
AssetImpairmentCharge-3,062 M-3,102 M-3,235 M
CallsMaturitiesOfMaturitySecurities10,894 M11,116 M8,975 M8,750 M7,086 M6,845 M7,387 M8,852 M6,837 M6,371 M
Cash at beginning of period294 M374 M380 M307 M344 M373 M494 M721 M761 M799 M
Cash at end of period374 M380 M307 M340 M373 M497 M724 M761 M799 M650 M
Cash flow3,772 M3,437 M4,270 M4,148 M4,380 M5,205 M6,519 M7,274 M6,465 M7,711 M
CashFlowFromContinuingInvestingActivities127 M314 M-1,528 M-2,206 M-2,329 M-2,899 M-4,889 M-5,191 M-3,728 M-6,821 M
ChangeInDeferredAcquisitionCosts-4,061 M-4,257 M-4,488 M-4,747 M-4,854 M-5,227 M-5,824 M-6,689 M
ChangeInPremiumsReceivable-207 M-185 M-286 M-394 M-393 M-384 M94 M-258 M-877 M-1,341 M
ChangeInReinsuranceRecoverableOnPaidAndUnpaidLosses400 M272 M610 M16 M-100 M157 M-162 M-101 M344 M-63 M
ChangeInReinsuranceRecoverableOnUnpaidLosses400 M272 M610 M16 M-100 M157 M-162 M-101 M344 M-63 M
ChangeInUnearnedPremiums73 M248 M372 M521 M710 M1,008 M592 M1,249 M1,862 M2,590 M
ChangeInWorkingCapital-438 M-740 M-3,622 M-2,654 M-3,025 M-2,919 M-1,708 M-1,949 M-2,445 M-2,660 M
CommonStockDividendPaid-729 M-739 M-757 M-785 M-814 M-844 M-861 M-869 M-875 M-908 M
CommonStockPayments-3,275 M-3,150 M-2,400 M-1,378 M-1,270 M-1,500 M-625 M-2,156 M-2,000 M-958 M
Current deferred income taxes121 M117 M110 M337 M-13 M-33 M-29 M62 M-186 M-163 M
Deferred income taxes121 M117 M110 M337 M-13 M-33 M-29 M62 M-186 M-163 M
Depreciation864 M826 M813 M803 M763 M789 M870 M826 M722 M
DepreciationAndAmortization3,882 M3,885 M4,811 M4,979 M5,184 M5,364 M789 M870 M826 M722 M
EarningsLossesFromEquityInvestments-486 M-218 M-232 M-397 M-365 M-251 M-130 M-993 M-336 M-157 M
Effect of exchange rate changes-10 M-12 M-9 M11 M-10 M5 M16 M-1000000.0-30 M12 M
FinancingCashFlow-3,809 M-3,733 M-2,806 M-1,920 M-2,012 M-2,187 M-1,416 M-2,037 M-2,669 M-1,051 M
Free cash flow3,772 M3,437 M4,270 M4,148 M4,380 M5,205 M6,519 M7,274 M6,465 M7,711 M
GainLossOnInvestmentSecurities-216 M-114 M-113 M-2 M-171 M204 M105 M
IncomeTaxPaidSupplementalData1,147 M1,207 M892 M514 M408 M428 M578 M707 M817 M201 M
InterestPaidSupplementalData365 M365 M358 M367 M347 M338 M339 M337 M349 M370 M
Issuance of capital stock195 M183 M332 M173 M132 M213 M127 M
Issuance of debt392 M491 M789 M591 M492 M490 M739 M738 M
IssuanceOfCapitalStock195 M183 M332 M173 M132 M213 M127 M
IssuanceOfDebt-8 M91 M132 M-9 M-8 M-10 M739 M738 M
Net cash from financing activities-3,809 M-3,733 M-2,806 M-1,920 M-2,012 M-2,187 M-1,416 M-2,037 M-2,669 M-1,051 M
Net cash from investing activities127 M314 M-1,528 M-2,206 M-2,329 M-2,899 M-4,889 M-5,196 M-3,728 M-6,821 M
Net cash from operating activities3,772 M3,437 M4,270 M4,148 M4,380 M5,205 M6,519 M7,274 M6,465 M7,711 M
Net change in cash & cash equivalents80 M6 M-73 M33 M29 M119 M214 M41 M68 M-161 M
Net income from continuing operations3,692 M3,439 M3,014 M2,056 M2,523 M2,622 M2,697 M3,662 M2,842 M2,991 M
NetBusinessPurchaseAndSale70 M-126 M-21 M-439 M-4 M-38 M-4 M
NetCommonStockIssuance-3,275 M-3,150 M-2,400 M-1,378 M-1,270 M-1,500 M-625 M-2,156 M-2,000 M-958 M
NetInvestmentPropertiesPurchaseAndSale105 M563 M-1,459 M-1,661 M-2,256 M-2,996 M-4,729 M-5,106 M-3,701 M-6,672 M
NetInvestmentPurchaseAndSale105 M563 M-1,459 M-1,661 M-2,256 M-2,996 M-4,729 M-5,106 M-3,701 M-6,672 M
NetIssuancePaymentsOfDebt-8 M91 M132 M-9 M-8 M-10 M739 M738 M
NetLongTermDebtIssuance-400 M-400 M-657 M-600 M-500 M-500 M
NetProceedsPaymentForLoan82 M
Operating (gains) losses-423 M-162 M-43 M-570 M-289 M171 M-3 M-414 M-87 M595 M
Other financing charges net-3,275 M-19 M-72 M-62 M-51 M-48 M-47 M-44 M-61 M-64 M
Other investing changes net-841 M-599 M-474 M-244 M664 M-1,282 M-896 M1,423 M-20 M-2,126 M
Other non-cash items-3,062 M-3,102 M-3,235 M
Payment of cash dividends729 M739 M757 M785 M814 M844 M861 M869 M875 M908 M
ProceedsFromLoans82 M
ProceedsFromStockOptionExercised195 M183 M332 M173 M132 M213 M127 M293 M267 M141 M
PurchaseOfEquitySecurities-52 M-49 M-51 M-459 M-127 M-407 M-136 M-105 M
PurchaseOfFixedMaturitySecurities-11,325 M-12,090 M-11,609 M-12,250 M-13,526 M-10,711 M-14,073 M-18,153 M-15,908 M-15,690 M
PurchaseOfInvestment-11,931 M-12,673 M-12,240 M-13,250 M-14,063 M-11,208 M-14,672 M-19,080 M-16,618 M-16,290 M
PurchaseOfPPE-48 M-123 M-69 M-106 M-69 M97 M-160 M-47 M-20 M-150 M
Repayment of debt-400 M-400 M-657 M-600 M-500 M-500 M
RepaymentOfDebt-400 M-400 M-657 M-600 M-500 M-500 M
Repurchase of capital stock-3,275 M-3,150 M-2,400 M-1,378 M-1,270 M-1,500 M-625 M-2,156 M-2,000 M-958 M
Revenue per share3,882 M3,885 M3,985 M4,166 M4,381 M4,601 M4,773 M5,043 M5,515 M6,226 M
SaleOfInvestment12,877 M13,835 M11,255 M11,833 M11,143 M9,494 M10,839 M12,551 M12,937 M11,744 M
SalesOfEquitySecurities158 M59 M92 M765 M116 M102 M138 M138 M
SalesOfFixedMaturitySecurities-79 M-3 M-68 M-216 M
ShortTermDebtIssuance392 M491 M789 M591 M492 M490 M739 M738 M
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