Loews Corporation
NYSE•L
CEO: Ms. Jane J. Wang
セクター: Financial Services
業種: Insurance - Property & Casualty
上場日: 1980-03-17
Loews Corporation provides commercial property and casualty insurance in the United States and internationally. The company offers specialty insurance products, such as management and professional liability, and other coverage products; surety and fidelity bonds; property insurance products that include standard and excess property, marine and boiler, and machinery coverages; and casualty insurance products, such as workers' compensation, general and product liability, and commercial auto, surplus, and umbrella coverages. It also provides loss-sensitive insurance programs; and warranty, risk management, information, and claims administration services. The company markets its insurance products and services through independent agents, brokers, and managing general underwriters. In addition, the company is involved in the transportation and storage of natural gas and natural gas liquids, and hydrocarbons through natural gas pipelines covering approximately 13,455 miles of interconnected pipelines; 855 miles of NGL pipelines in Louisiana and Texas; 14 underground storage fields with an aggregate gas capacity of approximately 199.5 billion cubic feet of natural gas; and eleven salt dome caverns and related brine infrastructure for providing brine supply services. Further, the company operates a chain of 25 hotels; and develops, manufactures, and markets a range of extrusion blow-molded and injection molded plastic containers for customers in the pharmaceutical, dairy, household chemicals, food/nutraceuticals, industrial/specialty chemicals, and water and beverage/juice industries, as well as manufactures commodity and differentiated plastic resins from recycled plastic materials. Loews Corporation was incorporated in 1969 and is headquartered in New York, New York.
連絡先情報
時価総額
$22.32B
PER (TTM)
13.4
11.2
配当利回り
0.2%
52週高値
$114.90
52週安値
$78.98
52週レンジ
順位32Top 23.6%
4.9
F-Score
改良版 Piotroski 分析
10年ファンダメンタル
堅調 • 4.9 / 9 ポイント
スコアレンジ (0-9)
8-9: 価値が優れている
6-7: 基礎体質が強い
4-5: 全体的に堅調
0-3: パフォーマンスが弱い
データ期間: 2016-2025
財務ダッシュボード
Q4 2025 データ
売上高
$4.66B+0.00%
直近4四半期の推移
EPS
$1.94+0.00%
直近4四半期の推移
フリーCF
$426.00M+0.00%
直近4四半期の推移
2025 Annual 決算ハイライト
主なハイライト
Consolidated Net Income Rises Net income attributable to Loews Corporation reached $1.67B USD in 2025, showing strong growth from $1.41B USD in 2024.
CNA Underwriting Income Strong CNA net income increased to $1.17B USD in 2025, driven by higher property and casualty underwriting income and investment returns.
Boardwalk Pipeline Revenue Up Boardwalk Pipelines transportation revenues increased due to higher re-contracting rates and recently completed growth projects.
Strong Common Stock Performance Common stock total return reached 238.31 index points over five years, outpacing S&P 500 Index return of 196.16.
リスク要因
CNA Reserve Adequacy Uncertainty Insufficient insurance reserves for long-tail coverages, mass torts, and social inflation could result in substantial charges to earnings.
Pipeline Growth Project Contingencies $3.3B growth projects are contingent on regulatory approvals; costs and timing may differ materially from current estimates.
Hospitality Industry Operating Risks Loews Hotels faces volatile earnings due to seasonal demand, high fixed costs, and geographic concentration in Florida markets.
Cybersecurity Breach Exposure Significant data security breaches impacting CNA or vendors could disrupt business, cause financial losses, and damage reputation.
見通し
Boardwalk Capital Expenditure Forecast Boardwalk Pipelines expects total capital expenditures of $845M USD in 2026, including $620M USD for growth projects.
New Hotel Development Planned Americana by Loews hotel replacement project expected to complete in 2029, funded primarily with operating cash flow.
Evolving Insurance Regulation Focus CNA faces continuous evolution in regulatory environment impacting corporate governance, risk management, and climate change disclosures.
Parent Company Debt Management Parent Company cash totaled $3.9B USD; debt maturities require refinancing, with $1.1B USD due in 2026.
同業比較
売上高 (TTM)
$29.31B
$18.18B
$16.34B
粗利益率 (最新四半期)
100.0%
87.6%
79.8%
主要指標
銘柄コード | 時価総額 | PER (TTM) | ROE (TTM) | 負債比率 |
|---|---|---|---|---|
| WRB | $26.13B | 15.3 | 18.9% | 6.4% |
| BAP | $25.85B | 13.0 | 19.3% | 12.9% |
| CINF | $25.56B | 10.8 | 16.1% | 2.2% |
長期トレンド
直近4四半期
売上高
純利益
営業キャッシュフロー
4四半期売上高CAGR
1.6%
緩やかな成長
4四半期純利益CAGR
2.8%
収益性の緩やかな改善
キャッシュフロー安定性
100%
優れたキャッシュフローの実績
深度リサーチ
次回決算:2026年5月4日
EPS:-
|売上高:-
財務データ
決算説明会
財務レポート
ニュース
損益計算書
バランスシート
キャッシュフロー計算書
財務比率
変化率
損益計算書 | 直近12ヶ月 |
|---|
データなし