Description Info: Cigna Corporation provides insurance and related products and services in the United States. Headquartered in Bloomfield, Connecticut.
Understand the unit economics and market potential
Check why Customers love it? is it a low-cost producer and provide quality products
Do a Customer study: by asking - Can you imagine doing your job without the Company Products? How is the Competition products?
Ask Customers - Why is it better than other products in the market
The Business needs to provide value to Customers at the end of day by improving productivity(save time) and scaling the user to do more and be cheap
The most important: Does the current management have Skin in the Game, if stock drops will they be impacted, if no: run away from the Stock: CI
Business Checklist for CI from SecDiver AIbetaFree for Limited Time
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Disclaimer: Do your due diligence, This checks does not mean, it's all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better!
Note: Most of these checks are based on BUY view, answers will depend based on your personal situation, long term view, and your intent: BUY, HOLD or SELL
📊 Professional Investors(wallstreet) pay a lot of heed at these numbers, long term history matters - specially 9+ year trends
Score8.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
revenue cagr for last 5 years
insight: ['25.34 is greater than equal to 5']
mental_model: We prefer growing Business which grow >= 5% YoY, better than GDP growth of >= 2-3%
cashflows cagr for last 5 years
insight: ['14.55 is greater than equal to 5']
mental_model: We prefer growing Business which generate cashflows >= 5% YoY, for some industries like finance specially Banks this might be lower/red and its OK for them
operating profits cagr for last 5 years
insight: ['11.68 is greater than equal to 5']
mental_model: We prefer growing Business which generate operating profits >= 5% YoY
shares outstanding cagr for last 5 years
insight: ['-5.05 is less than equal to 2']
mental_model: As a business owner equity is important, We want less dilution over years OR it should reduce so our share of business increases with time, less than 2% is ideal, >=10% is potentially bad be careful
net profits cagr for last 5 years
insight: ['11.4 is greater than equal to 5']
mental_model: We prefer growing Business which generate net profits >= 5% YoY
debt cagr for last 5 years
insight: ['17.85 is NOT less than equal to 2']
mental_model: We prefer Business with lower debt growth
equity cagr for last 5 years
insight: ['9.1 is greater than equal to 5']
mental_model: We prefer growing Business having shareholder equity growth >= 5% YoY
interestCoverage average for last 3 years
insight: ['7.5 is greater than equal to 5']
mental_model: We prefer Business which can cover their interest payments with cashflows, for some industries like finance specially Banks this might be lower/red and its OK for them
leverage average for last 3 years
insight: ['4.06 is less than equal to 5', '4.06 is greater than equal to 0']
mental_model: We prefer Business which can pay their debts in less than 5 years using cashflows, for some industries like finance specially Banks this might be lower/red and its OK for them
interestRate average for last 3 years
insight: ['0.04 is less than equal to 0.05']
mental_model: We prefer lower interest rate than the current prevailing interest rates, we want long term debt profile too
roe_cashflow::operating average for last 3 years
insight: ['22.37 is greater than equal to 10']
mental_model: Good Business have return on equity >= 10%
roce_cashflow::operating average for last 3 years
insight: ['6.86 is NOT greater than equal to 15']
mental_model: Good Business have return on capital >= 15%
roic_cashflow::operating average for last 3 years
insight: ['133.14 is greater than equal to 15']
mental_model: Good Business have return on invested capital >= 15%
goodwill cagr for last 5 years
insight: ['16.38 is NOT less than equal to 4']
mental_model: We prefer Business which grows organically, for Acquisition style businesses we want to look at Capital Allocation Success, Study their acquisitions
next_steps: Study their acquisitions history
Business Durability beta
🏰 Quality companies with moats show higher or stable trends, long term trends matters, Consistency is the Key
Score6.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
margin cashflow running_sum for last 3 years
insight: ['trend is lower, last 3 year ratio: 0.05 wrt mean ratio: 0.063']
margin operating running_sum for last 3 years
insight: ['trend is lower, last 3 year ratio: 0.04 wrt mean ratio: 0.06']
margin net running_sum for last 3 years
insight: ['trend is lower, last 3 year ratio: 0.03 wrt mean ratio: 0.039']
roa_cashflow::operating average for last 3 years
insight: ['trend is higher, last 3 year ratio: 6.86 wrt mean ratio: 6.175']
mental_model: We want stability on increasing return on assets
roe_cashflow::operating average for last 3 years
insight: ['trend is stable, last 3 year ratio: 22.37 wrt mean ratio: 21.983']
mental_model: We want stability on increasing return on equity
roce_cashflow::operating average for last 3 years
insight: ['trend is higher, last 3 year ratio: 6.86 wrt mean ratio: 6.175']
mental_model: We want stability on increasing return on capital employed
roic_cashflow::operating average for last 3 years
insight: ['trend is higher, last 3 year ratio: 133.14 wrt mean ratio: 121.938']
mental_model: We want stability on increasing return on invested capital
rotc_cashflow::operating average for last 3 years
insight: ['trend is higher, last 3 year ratio: 275.97 wrt mean ratio: 232.963']
mental_model: We want stability on increasing return on tangible capital
Valuation is the Key beta
💎 Buying Quality companies at cheap provides the right Margin of Safety in the longer term
Score8.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
pe average for last 3 years
insight: ['17.01 is NOT less than equal to 15', '17.01 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, PE <=15 preferred
pocf average for last 3 years
insight: ['8.73 is less than equal to 15', '8.73 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, POCF <=15 preferred
pb average for last 3 years
insight: ['1.98 is less than equal to 2', '1.98 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, PB <=2 preferred
ps average for last 3 years
insight: ['0.44 is less than equal to 5', '0.44 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, PS <=5 preferred
evToEbitda average for last 3 years
insight: ['10.48 is less than equal to 15', '10.48 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, evToEbitda <=15 preferred
evToOcf average for last 3 years
insight: ['12.34 is less than equal to 15', '12.34 is greater than 0']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want lower number here when we are BUY mode, POCF <=15 preferred
Business Trends last 3 years beta
Score7.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
receivables running_sum for last 3 years
insight: ['trend is stable, last 3 year ratio: 0.09 wrt mean ratio: 0.09']
mental_model: receivables should always grow less with revenues otherwise there might be some payment/collection issues, Watch out
inventory running_sum for last 3 years
insight: ['trend is higher, last 3 year ratio: 0.03 wrt mean ratio: 0.023']
mental_model: inventory should always grow in relation with revenues, Inventory build can be positive depending on the industry cycle, but mostly it could be a CON as working capital is tied up, Be Careful
payables running_sum for last 3 years
insight: ['trend is higher, last 3 year ratio: 0.1 wrt mean ratio: 0.092']
mental_model: the more this is the better, nothing bad about it.
Profits Matter beta
💰 Companies needs to have positive profits to reward its shareholders in the long term
Score10.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
positive cashflows profits average for last 3 years
insight: ['10277333333.33 is greater than equal to 0']
mental_model: We want to see positive cashflows profits for last 3 years, Profits determine Stock prices in the long term
positive operating profits average for last 3 years
insight: ['8801000000.0 is greater than equal to 0']
mental_model: We want to see positive operating profits for last 3 years, Profits determine Stock prices in the long term
positive net profits average for last 3 years
insight: ['5310666666.67 is greater than equal to 0']
mental_model: We want to see positive net profits for last 3 years, GAAP net Profits determine Stock prices in the long term
Business Performance beta
Score2.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
Operating Leverage Cashflow cagr for last 5 years
insight: ['Ratio is [0.57] for last 5 year ratio, threshold 0.9, value_1: 14.55, value_2: 25.34']
mental_model: We want Cashflow to grow atleast 90% of Revenue CAGR
Operating Leverage cagr for last 5 years
insight: ['Ratio is [0.46] for last 5 year ratio, threshold 0.9, value_1: 11.68, value_2: 25.34']
mental_model: We want Operating Income to grow atleast 90% of Revenue CAGR
Debt wrt Revenue cagr for last 5 years
insight: ['Ratio is [0.7] for last 5 year ratio, threshold 1, value_1: 17.85, value_2: 25.34']
mental_model: We want debt to grow less than revenue cagr
Debt wrt Equity cagr for last 5 years
insight: ['Ratio is [1.96] for last 5 year ratio, threshold 1, value_1: 17.85, value_2: 9.1']
mental_model: We want debt to grow less than equity cagr
Balance Sheet Quality beta
📈 Quality companies can withstand darkest hours, strong balance sheet is the key
Score8.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
debtToCashflow running_sum for last 3 years
insight: ['trend is lower, last 3 year ratio: 4.06 wrt mean ratio: 4.518']
debtToEquity running_sum for last 3 years
insight: ['trend is higher, last 3 year ratio: 0.95 wrt mean ratio: 0.863']
interestCoverage average for last 3 years
insight: ['7.5 is greater than equal to 3']
mental_model: We prefer Business which can cover their interest payments
leverage average for last 3 years
insight: ['4.06 is less than equal to 5']
mental_model: We prefer Business which can pay their debts in less than 5 years
interestRate average for last 3 years
insight: ['0.04 is less than equal to 0.05']
mental_model: We prefer lower interest rate than the current prevailing interest rates, we want long term debt profile too
Taxes, Interest and Unearned beta
📈Note: this is a new one, so do not use this for now, we are looking at data
Score10.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
income_tax running_sum for last 3 years
insight: ['trend is lower, last 3 year ratio: 0.01 wrt mean ratio: 0.013']
Valuation Insights Relative to History beta
Score10.0 / 10.0
Disclaimer: Do your due diligence, This checks does not mean, its all good to Invest, It depends on many factors like sector, industry; this means you should spend time reading Annual Statements and Understand the Business Better! Note: Free for Limited Time
pe average for last 3 years
insight: ['trend is stable, last 3 year ratio: 17.01 wrt mean ratio: 17.877']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
pocf average for last 3 years
insight: ['trend is lower, last 3 year ratio: 8.73 wrt mean ratio: 11.123']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
pb average for last 3 years
insight: ['trend is stable, last 3 year ratio: 1.98 wrt mean ratio: 1.923']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
ps average for last 3 years
insight: ['trend is lower, last 3 year ratio: 0.44 wrt mean ratio: 0.753']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
evToEbitda average for last 3 years
insight: ['trend is lower, last 3 year ratio: 10.48 wrt mean ratio: 12.259']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
evToOcf average for last 3 years
insight: ['trend is lower, last 3 year ratio: 12.34 wrt mean ratio: 15.247']
mental_model: It depends which side of the equation you are, Buy, Hold or Sell but typically We want stability on decreasing trend here
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1. Showing CASHFLOW_COMPARE_DETAIL report for CI Current Market Price: 315.82 as of 2025-06-13
T means Trillions, B means Billions, M means Millions, all values are in USD(or company filed currency) if not specified as percent/number in the Entry column
Disclaimer: Data is provided as is, please do your due diligence before making any investments, Markets can be very volatile!
Ticker
Entry
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011
2010
2009
2008
CI
StockMarketPrice
273.47
298.72
324.28
220.73
197.56
194.02
180.15
192.60
126.47
138.70
97.51
82.85
50.59
39.71
34.63
33.28
15.85
CI
YearPriceHigh
365.71
327.91
340.11
272.81
224.96
207.28
227.13
212.46
148.99
170.68
105.73
88.57
54.53
52.95
39.26
38.12
56.98
CI
YearPriceLow
259.50
240.50
213.16
190.88
118.50
141.95
163.02
133.52
115.03
100.67
73.47
53.91
39.01
36.76
29.12
12.68
8.00
CI
revenue
247.12B
195.26B
180.52B
174.08B
160.40B
153.57B
48.65B
41.81B
39.84B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
assets
155.88B
152.76B
143.93B
154.89B
155.45B
155.77B
153.23B
61.76B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
ppnenet
3.65B
3.69B
3.77B
3.69B
4.21B
4.42B
4.56B
1.56B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
cashflow::operating
10.36B
11.81B
8.66B
7.19B
10.35B
9.48B
3.77B
4.09B
4.03B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
netincome
3.78B
5.37B
6.78B
5.42B
8.49B
5.12B
2.65B
2.23B
1.84B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
operatingincome
9.42B
8.54B
8.45B
7.94B
10.87B
8.08B
4.16B
3.94B
3.09B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
marketcap
76.07B
87.41B
99.15B
73.16B
71.37B
72.45B
68.60B
73.34B
50.15B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
ev
100.49B
110.52B
155.41B
101.75B
94.11B
105.24B
107.22B
75.80B
50.15B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
equity
41.24B
46.24B
44.87B
47.11B
50.32B
45.34B
41.03B
13.71B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
debt
31.97B
30.93B
62.19B
33.67B
32.92B
37.41B
42.48B
5.44B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
interest_expense
1.44B
1.45B
1.23B
1.21B
1.44B
1.68B
0.50B
0.25B
0.28B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
interestRate
0.04
0.05
0.02
0.04
0.04
0.04
0.01
0.05
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
shares_calc
0.28B
0.29B
0.31B
0.33B
0.36B
0.37B
0.38B
0.38B
0.40B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
income_tax
0.90B
1.47B
1.85B
2.24B
1.84B
1.78B
1.02B
1.04B
1.06B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
depreciation
2.77B
3.04B
2.94B
2.92B
2.80B
3.65B
0.69B
0.57B
0.61B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
inventory
6.69B
5.64B
4.78B
3.72B
3.17B
2.66B
2.82B
0.23B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
payables
28.46B
19.82B
17.07B
15.31B
13.35B
10.45B
10.70B
0.30B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
receivables
24.23B
17.72B
17.22B
15.07B
12.19B
10.72B
10.47B
3.15B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
opLeverage
-16.24
-7.15
2.71
-35.46
30.10
-121.49
-10.84
22.72
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
evToEbitda
8.24
9.55
13.65
9.37
6.88
8.97
22.08
16.82
13.56
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
evToOpIncome
10.67
12.95
18.39
12.81
8.66
13.03
25.77
19.23
16.24
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
evToOcf
9.70
9.36
17.95
14.15
9.09
11.10
28.44
18.55
12.46
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
pocf
7.34
7.40
11.45
10.17
6.90
7.64
18.20
17.95
12.46
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
pe
20.13
16.27
14.62
13.50
8.41
14.15
25.92
32.86
27.21
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
ps
0.31
0.45
0.55
0.42
0.44
0.47
1.41
1.75
1.26
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
pb
1.84
1.89
2.21
1.55
1.42
1.60
1.67
5.35
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
roa_cfo
6.78%
8.21%
5.59%
4.63%
6.64%
6.19%
6.10%
6.62%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
roe_cfo
22.41%
26.33%
18.37%
14.29%
22.83%
23.12%
27.50%
29.80%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
roce_cfo
6.78%
8.21%
5.59%
4.63%
6.64%
6.19%
6.10%
6.62%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
roic_cfo
143.00%
135.80%
120.62%
115.72%
141.01%
132.58%
81.23%
88.04%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
rotc_cfo
280.46%
313.01%
234.45%
171.01%
234.32%
207.91%
241.20%
261.42%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
rome_cfo
11.45%
13.03%
9.32%
7.57%
11.51%
11.09%
18.97%
20.56%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
rote_cfo
522.07%
-999.00%
665.33%
126.76%
1406.25%
-272.79%
49.95%
54.14%
inf
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
margin_cfo
4.19%
6.05%
4.80%
4.13%
6.45%
6.18%
7.75%
9.77%
10.11%
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
margin_op
3.81%
4.37%
4.68%
4.56%
6.78%
5.26%
8.55%
9.43%
7.75%
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
margin_net
1.53%
2.75%
3.76%
3.11%
5.29%
3.33%
5.44%
5.34%
4.63%
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
yield_cfo
13.62%
13.51%
8.73%
9.83%
14.50%
13.09%
5.50%
5.57%
8.03%
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
goodwill
44.37B
44.26B
45.81B
45.81B
44.65B
44.60B
44.51B
6.16B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
CI
yield_cashflow::operating_enterprise
10.31%
10.69%
5.57%
7.07%
11.00%
9.01%
3.52%
5.39%
8.03%
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
General notes: Caution:: 0 value in revenue means we do not have data for the year for the ticker
0 value most likely means we had a data issue and could not find the field value in the particular year
StockMarketPrice is the price of the Stock in December first week for the year mentioned(typically)
2. CAGR report Showing CASHFLOW_COMPARE_DETAIL report for CI [show/hide charts] Current Market Price: 315.82 as of 2025-06-13
T means Trillions, B means Billions, M means Millions, all values are in USD(or company filed currency) if not specified as percent/number in the Entry column
Disclaimer: Data is provided as is, please do your due diligence before making any investments, Markets can be very volatile!
Ticker
Entry
CAGR_9Y_ENDING_2024
CAGR_5Y_ENDING_2024
CAGR_3Y_ENDING_2024
CI
StockMarketPrice
7.83%
7.11%
7.40%
CI
YearPriceHigh
8.84%
12.03%
10.26%
CI
YearPriceLow
11.09%
12.82%
10.78%
CI
revenue
inf
9.98%
12.39%
CI
assets
inf
0.01%
0.21%
CI
ppnenet
inf
-3.72%
-0.34%
CI
cashflow::operating
inf
1.79%
12.95%
CI
netincome
inf
-5.90%
-11.33%
CI
operatingincome
inf
3.12%
5.85%
CI
marketcap
inf
0.98%
1.31%
CI
ev
inf
-0.92%
-0.41%
CI
equity
inf
-1.88%
-4.34%
CI
debt
inf
-3.09%
-1.71%
CI
interest_expense
inf
-3.13%
5.91%
CI
interestRate
inf
0.0
0.0
CI
shares_calc
inf
-5.72%
-5.67%
CI
income_tax
inf
-12.75%
-26.26%
CI
depreciation
inf
-5.34%
-1.72%
CI
inventory
inf
20.25%
21.60%
CI
payables
inf
22.18%
22.97%
CI
receivables
inf
17.72%
17.14%
CI
opLeverage
inf
49.55%
29.73%
CI
evToEbitda
inf
-1.68%
-4.19%
CI
evToOpIncome
inf
-3.92%
-5.91%
CI
evToOcf
inf
-2.66%
-11.83%
CI
pocf
inf
-0.80%
-10.30%
CI
pe
inf
7.30%
14.24%
CI
ps
inf
-7.99%
-9.63%
CI
pb
inf
2.83%
5.88%
CI
roa_cfo
inf
1.84%
13.56%
CI
roe_cfo
inf
-0.62%
16.18%
CI
roce_cfo
inf
1.84%
13.56%
CI
roic_cfo
inf
1.52%
7.31%
CI
rotc_cfo
inf
6.17%
17.93%
CI
rome_cfo
inf
0.64%
14.79%
CI
rote_cfo
inf
31.38%
60.29%
CI
margin_cfo
inf
-7.48%
0.48%
CI
margin_op
inf
-6.25%
-5.81%
CI
margin_net
inf
-14.40%
-21.06%
CI
yield_cfo
inf
0.80%
11.48%
CI
goodwill
inf
-0.10%
-1.06%
CI
yield_cashflow::operating_enterprise
inf
2.73%
13.40%
General notes: Caution:: 0 value in revenue means we do not have data for the year for the ticker
0 value most likely means we had a data issue and could not find the field value in the particular year
StockMarketPrice is the price of the Stock in December first week for the year mentioned(typically)
3. Rolling 5 yearly CAGR report Showing CASHFLOW_COMPARE_DETAIL report for CI Current Market Price: 315.82 as of 2025-06-13
T means Trillions, B means Billions, M means Millions, all values are in USD(or company filed currency) if not specified as percent/number in the Entry column
Disclaimer: Data is provided as is, please do your due diligence before making any investments, Markets can be very volatile!
Ticker
Entry
CAGR_5Y_2024
CAGR_5Y_2023
CAGR_5Y_2022
CAGR_5Y_2021
CAGR_5Y_2020
CAGR_5Y_2019
CAGR_5Y_2018
CAGR_5Y_2017
CAGR_5Y_2016
CAGR_5Y_2015
CAGR_5Y_2014
CAGR_5Y_2013
CI
StockMarketPrice
7.11%
10.64%
10.98%
11.78%
7.33%
14.75%
16.81%
30.65%
26.07%
31.99%
23.99%
39.20%
CI
YearPriceHigh
12.03%
7.62%
9.87%
12.86%
5.68%
14.41%
20.73%
31.26%
22.99%
34.17%
22.63%
9.22%
CI
YearPriceLow
12.82%
8.09%
9.81%
10.66%
3.32%
14.08%
24.77%
27.90%
25.63%
28.16%
42.10%
46.46%
CI
revenue
9.98%
32.04%
33.99%
34.30%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
assets
0.01%
-0.06%
18.44%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
ppnenet
-3.72%
-4.13%
19.28%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
cashflow::operating
1.79%
25.66%
16.20%
12.30%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
netincome
-5.90%
15.22%
24.89%
24.08%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
operatingincome
3.12%
15.46%
16.47%
20.79%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
marketcap
0.98%
4.97%
6.22%
7.85%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
ev
-0.92%
0.61%
15.44%
15.20%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
equity
-1.88%
2.42%
26.76%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
debt
-3.09%
-6.15%
62.79%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
interest_expense
-3.13%
23.76%
37.26%
34.15%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
interestRate
0.0
37.97%
-16.74%
-98.68%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
shares_calc
-5.72%
-5.13%
-4.29%
-3.52%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
income_tax
-12.75%
7.62%
12.30%
16.05%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
depreciation
-5.34%
34.29%
39.00%
36.80%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
inventory
20.25%
14.88%
83.76%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
payables
22.18%
13.11%
123.66%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
receivables
17.72%
11.09%
40.41%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
opLeverage
49.55%
8.68%
-34.64%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
evToEbitda
-1.68%
-15.43%
-4.09%
-7.13%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
evToOpIncome
-3.92%
-12.86%
-0.89%
-4.63%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
evToOcf
-2.66%
-19.93%
-0.66%
2.58%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
pocf
-0.80%
-16.47%
-8.60%
-3.98%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
pe
7.30%
-8.89%
-14.95%
-13.08%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
ps
-7.99%
-20.42%
-20.66%
-19.73%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
pb
2.83%
2.51%
-16.21%
-97.26%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
roa_cfo
1.84%
6.12%
-3.33%
-96.59%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
roe_cfo
-0.62%
-0.87%
-9.22%
-95.72%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
roce_cfo
1.84%
6.12%
-3.33%
-96.59%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
roic_cfo
1.52%
10.82%
6.50%
-93.50%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
rotc_cfo
6.17%
5.35%
-2.15%
-92.98%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
rome_cfo
0.64%
-7.24%
-14.64%
-96.23%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
rote_cfo
31.38%
-13.37%
65.16%
-93.38%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
margin_cfo
-7.48%
-4.83%
-13.25%
-16.39%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
margin_op
-6.25%
-12.56%
-13.07%
-10.06%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
margin_net
-14.40%
-12.75%
-6.78%
-7.65%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
yield_cfo
0.80%
19.69%
9.40%
4.13%
inf
inf
inf
inf
inf
0.0
0.0
0.0
CI
goodwill
-0.10%
-0.11%
49.36%
inf
inf
inf
inf
inf
0.0
0.0
0.0
0.0
CI
yield_cashflow::operating_enterprise
2.73%
24.88%
0.66%
-2.51%
inf
inf
inf
inf
inf
0.0
0.0
0.0
General notes: Caution:: 0 value in revenue means we do not have data for the year for the ticker
0 value most likely means we had a data issue and could not find the field value in the particular year
StockMarketPrice is the price of the Stock in December first week for the year mentioned(typically)
4. Rolling 9 yearly CAGR report Showing CASHFLOW_COMPARE_DETAIL report for CI Current Market Price: 315.82 as of 2025-06-13
T means Trillions, B means Billions, M means Millions, all values are in USD(or company filed currency) if not specified as percent/number in the Entry column
Disclaimer: Data is provided as is, please do your due diligence before making any investments, Markets can be very volatile!
Ticker
Entry
CAGR_9Y_2024
CAGR_9Y_2023
CAGR_9Y_2022
CAGR_9Y_2021
CAGR_9Y_2020
CAGR_9Y_2019
CAGR_9Y_2018
CAGR_9Y_2017
CI
StockMarketPrice
7.83%
13.25%
16.37%
17.78%
19.51%
21.10%
20.64%
31.98%
CI
YearPriceHigh
8.84%
13.40%
16.13%
19.59%
17.44%
20.31%
21.93%
15.75%
CI
YearPriceLow
11.09%
14.08%
16.50%
19.29%
13.89%
19.24%
32.81%
36.72%
CI
revenue
inf
inf
inf
inf
inf
inf
inf
inf
CI
assets
inf
inf
inf
inf
inf
inf
inf
inf
CI
ppnenet
inf
inf
inf
inf
inf
inf
inf
inf
CI
cashflow::operating
inf
inf
inf
inf
inf
inf
inf
inf
CI
netincome
inf
inf
inf
inf
inf
inf
inf
inf
CI
operatingincome
inf
inf
inf
inf
inf
inf
inf
inf
CI
marketcap
inf
inf
inf
inf
inf
inf
inf
inf
CI
ev
inf
inf
inf
inf
inf
inf
inf
inf
CI
equity
inf
inf
inf
inf
inf
inf
inf
inf
CI
debt
inf
inf
inf
inf
inf
inf
inf
inf
CI
interest_expense
inf
inf
inf
inf
inf
inf
inf
inf
CI
interestRate
inf
inf
inf
inf
inf
inf
inf
inf
CI
shares_calc
inf
inf
inf
inf
inf
inf
inf
inf
CI
income_tax
inf
inf
inf
inf
inf
inf
inf
inf
CI
depreciation
inf
inf
inf
inf
inf
inf
inf
inf
CI
inventory
inf
inf
inf
inf
inf
inf
inf
inf
CI
payables
inf
inf
inf
inf
inf
inf
inf
inf
CI
receivables
inf
inf
inf
inf
inf
inf
inf
inf
CI
opLeverage
inf
inf
inf
inf
inf
inf
inf
inf
CI
evToEbitda
inf
inf
inf
inf
inf
inf
inf
inf
CI
evToOpIncome
inf
inf
inf
inf
inf
inf
inf
inf
CI
evToOcf
inf
inf
inf
inf
inf
inf
inf
inf
CI
pocf
inf
inf
inf
inf
inf
inf
inf
inf
CI
pe
inf
inf
inf
inf
inf
inf
inf
inf
CI
ps
inf
inf
inf
inf
inf
inf
inf
inf
CI
pb
inf
inf
inf
inf
inf
inf
inf
inf
CI
roa_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
roe_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
roce_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
roic_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
rotc_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
rome_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
rote_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
margin_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
margin_op
inf
inf
inf
inf
inf
inf
inf
inf
CI
margin_net
inf
inf
inf
inf
inf
inf
inf
inf
CI
yield_cfo
inf
inf
inf
inf
inf
inf
inf
inf
CI
goodwill
inf
inf
inf
inf
inf
inf
inf
inf
CI
yield_cashflow::operating_enterprise
inf
inf
inf
inf
inf
inf
inf
inf
General notes: Caution:: 0 value in revenue means we do not have data for the year for the ticker
0 value most likely means we had a data issue and could not find the field value in the particular year
StockMarketPrice is the price of the Stock in December first week for the year mentioned(typically)
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