10-K.Info (Beta Test)
Courtesy of Short Sands, LLC
10-K.Info (Beta Test)
Courtesy of Short Sands, LLC

CIGNA CORP

Ticker: CI   Fiscal Year: 2011

Consolidated Statements of Income

Period Ending Dec 31, 2011 10-K (Filed: Feb 23, 2012)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2011Dec 31, 2010Dec 31, 2009
Revenues
Premiums and fees
$
19,089,000,000
18,393,000,00016,041,000,000
Net investment income1,146,000,0001,105,000,0001,014,000,000
Mail order pharmacy revenues1,447,000,0001,420,000,0001,282,000,000
Other revenues254,000,000260,000,000120,000,000
Realized investment gains (losses):
Other-than-temporary impairments on fixed maturities, net(26,000,000)(1,000,000)(47,000,000)
Other realized investment gains88,000,00076,000,0004,000,000
Total realized investment gains (losses)62,000,00075,000,000(43,000,000)
 
Total revenues21,998,000,00021,253,000,00018,414,000,000
 
Benefits and Expenses
Health Care medical claims expense8,182,000,0008,570,000,0006,927,000,000
Other benefit expenses4,308,000,0003,663,000,0003,407,000,000
Mail order pharmacy cost of goods sold1,203,000,0001,169,000,0001,036,000,000
GMIB fair value (gain) loss234,000,00055,000,000(304,000,000)
Other operating expenses6,103,000,0005,926,000,0005,450,000,000
Total benefits and expenses20,030,000,00019,383,000,00016,516,000,000
 
Income from Continuing Operations before Income Taxes1,968,000,0001,870,000,0001,898,000,000
 
Income taxes:
Current398,000,000331,000,000275,000,000
Deferred242,000,000190,000,000319,000,000
Total taxes640,000,000521,000,000594,000,000
 
Income from Continuing Operations1,328,000,0001,349,000,0001,304,000,000
 
Income from discontinued operations, net of taxes00(1,000,000)
Net Income1,328,000,0001,349,000,0001,305,000,000
 
Less: Net Income Attributable to Noncontrolling Interest1,000,0004,000,0003,000,000
Shareholders' net income1,327,000,0001,345,000,0001,302,000,000
Basic Earnings Per Share:
Shareholders' income from continuing operations555
Shareholders' income from discontinued operations000
Shareholders' net income555
 
Diluted Earnings Per Share:
Shareholders' income from continuing operations555
Shareholders' income from discontinued operations000
Shareholders' net income555
 
Dividends Declared Per Share000
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CIGNA CORP

Ticker: CI   Fiscal Year: 2011

Consolidated Statements of Comprehensive Income

Period Ending Dec 31, 2011 10-K (Filed: Feb 23, 2012)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2011Dec 31, 2010Dec 31, 2009
Net unrealized appreciation (depreciation) on securities
$
208,000,000
150,000,000540,000,000
 
Net unrealized appreciation (depreciation), derivatives1,000,0006,000,000(17,000,000)
Net translation of foreign currencies(28,000,000)37,000,00048,000,000
Postretirement benefits liability adjustment(360,000,000)(189,000,000)(97,000,000)
Shareholders' net income1,327,000,0001,345,000,0001,302,000,000
Net income attributable to noncontrolling interest1,000,0004,000,0003,000,000
Accumulated other comprehensive income attributable to noncontrolling interest2,000,000
Statement Comprehensive Income
Comprehensive Income
Net unrealized appreciation (depreciation), fixed maturities210,000,000151,000,000543,000,000
Net unrealized appreciation (depreciation), equity securities(2,000,000)(1,000,000)(3,000,000)
Net unrealized appreciation (depreciation) on securities208,000,000150,000,000540,000,000
 
Net unrealized appreciation (depreciation), derivatives1,000,0006,000,000(17,000,000)
Net translation of foreign currencies(28,000,000)37,000,00048,000,000
Postretirement benefits liability adjustment(360,000,000)(189,000,000)(97,000,000)
Other comprehensive income (loss)(179,000,000)4,000,000474,000,000
 
Shareholders' net income1,327,000,0001,345,000,0001,302,000,000
Net income attributable to noncontrolling interest1,000,0004,000,0003,000,000
Accumulated other comprehensive income attributable to noncontrolling interest02,000,0003,000,000
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CIGNA CORP

Ticker: CI   Fiscal Year: 2011

Consolidated Statements of Cash Flows

Period Ending Dec 31, 2011 10-K (Filed: Feb 23, 2012)

(In Dollars)
 12 Months Ended12 Months Ended12 Months Ended
 Dec 31, 2011Dec 31, 2010Dec 31, 2009
Cash Flows from Operating Activities
Net Income
$
1,328,000,000
1,349,000,0001,305,000,000
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation and amortization345,000,000292,000,000268,000,000
Realized investment (gains) losses(62,000,000)(75,000,000)43,000,000
Deferred income taxes242,000,000190,000,000319,000,000
Gains on sale of businesses (excluding discontinued operations)(25,000,000)(13,000,000)(32,000,000)
Income from discontinued operations, net of taxes00(1,000,000)
Net changes in assets and liabilities, net of non-operating effects:
Premiums, accounts and notes receivable(50,000,000)62,000,00049,000,000
Reinsurance recoverables19,000,00037,000,00030,000,000
Deferred policy acquisition costs(211,000,000)(156,000,000)(109,000,000)
Other assets(317,000,000)(3,000,000)452,000,000
Insurance liabilities154,000,000325,000,000(357,000,000)
Accounts payable, accrued expenses and other liabilities344,000,000(272,000,000)(1,321,000,000)
Current income taxes(246,000,000)2,000,00055,000,000
Other, net(30,000,000)5,000,00044,000,000
Net cash provided by operating activities1,491,000,0001,743,000,000745,000,000
 
Cash Flows from Investing Activities
Proceeds from investments sold:
Fixed maturities830,000,000822,000,000927,000,000
Equity securities46,000,0004,000,00022,000,000
Commercial mortgage loans253,000,00063,000,00061,000,000
Other (primarily short-term and other long-term investments)1,915,000,0001,102,000,000910,000,000
Investment maturities and repayments:
Fixed maturities1,265,000,0001,084,000,0001,100,000,000
Commercial mortgage385,000,00070,000,00094,000,000
Investments purchased:
Fixed maturities(2,877,000,000)(2,587,000,000)(2,916,000,000)
Equity securities(20,000,000)(12,000,000)(14,000,000)
Commercial mortgage loans(487,000,000)(239,000,000)(175,000,000)
Other (primarily short-term and other long-term investments)(2,056,000,000)(810,000,000)(1,187,000,000)
Property and equipment purchases(422,000,000)(300,000,000)(307,000,000)
Acquisitions, net of cash acquired(102,000,000)(539,000,000)0
Net cash used in investing activities(1,270,000,000)(1,342,000,000)(1,485,000,000)
 
Cash Flows from Financing Activities
Deposits and interest credited to contractholder deposit funds1,323,000,0001,295,000,0001,312,000,000
Withdrawals and benefit payments from contractholder deposit funds(1,178,000,000)(1,205,000,000)(1,223,000,000)
Change in cash overdraft position(1,000,000)59,000,00053,000,000
Net change in short-term debt, primarily commercial paper(451,000,000)(270,000,000)(200,000,000)
Issuance of long-term debt2,676,000,000543,000,000346,000,000
Repurchase of common stock(225,000,000)(201,000,000)0
Issuance of common stock734,000,00064,000,00030,000,000
Common dividends paid(11,000,000)(11,000,000)(11,000,000)
Net cash provided by financing activities2,867,000,000274,000,000307,000,000
 
Effect of foreign currency rate changes on cash and cash equivalents(3,000,000)6,000,00015,000,000
Net increase (decrease) in cash and cash equivalents3,085,000,000681,000,000(418,000,000)
 
Cash and cash equivalents, January 1,1,605,000,000924,000,000
Cash and cash equivalents, December 31,4,690,000,0001,605,000,000924,000,000
 
Supplemental Disclosure of Cash Information:
Income taxes paid, net of refunds633,000,000326,000,000220,000,000
Interest paid185,000,000180,000,000158,000,000
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CIGNA CORP

Ticker: CI   Fiscal Year: 2011

Consolidated Balance Sheets

Period Ending Dec 31, 2011 10-K (Filed: Feb 23, 2012)

(In Dollars)
 As ofAs of
 Dec 31, 2011Dec 31, 2010
Assets
Investments
Fixed maturities, at fair value (amortized cost, $14,257; $13,445)
$
16,217,000,000
14,709,000,000
Equity securities, at fair value (cost, $124; $144)100,000,000127,000,000
Commercial Mortgage Loans3,301,000,0003,486,000,000
Policy loans1,502,000,0001,581,000,000
Real estate87,000,000112,000,000
Other long-term investments1,058,000,000759,000,000
Short-term investments225,000,000174,000,000
Total investments22,490,000,00020,948,000,000
 
Cash and cash equivalents4,690,000,0001,605,000,000
Accrued investment income252,000,000235,000,000
Premiums, accounts and notes receivable, net1,358,000,0001,318,000,000
Reinsurance recoverables6,256,000,0006,495,000,000
Deferred policy acquisition costs1,312,000,0001,122,000,000
Property and equipment1,024,000,000912,000,000
Deferred income taxes, net632,000,000782,000,000
Goodwill3,164,000,0003,119,000,000
Other assets, including other intangibles1,776,000,0001,238,000,000
Separate account assets8,093,000,0007,908,000,000
Total assets51,047,000,00045,682,000,000
 
Liabilities
Contractholder deposit funds8,553,000,0008,509,000,000
Future policy benefits8,593,000,0008,147,000,000
Unpaid claims and claim expenses4,146,000,0004,017,000,000
Health Care medical claims payable1,095,000,0001,246,000,000
Unearned premiums and fees502,000,000416,000,000
Total insurance and contractholder liabilities22,889,000,00022,335,000,000
 
Accounts payable, accrued expenses and other liabilities6,627,000,0005,936,000,000
Short-term debt104,000,000552,000,000
Long-term debt4,990,000,0002,288,000,000
Nonrecourse obligations00
Separate account liabilities8,093,000,0007,908,000,000
Total liabilities42,703,000,00039,019,000,000
 
Contingencies - Note 2300
Shareholders' Equity
Common stock (par value per share, $0.25; shares issued,366, 351; authorized, 600)92,000,00088,000,000
Additional paid-in capital3,188,000,0002,534,000,000
Net unrealized appreciation, fixed maturities739,000,000529,000,000
Net unrealized appreciation, equity securities1,000,0003,000,000
Net unrealized depreciation, derivatives(23,000,000)(24,000,000)
Net translation of foreign currencies(3,000,000)25,000,000
Postretirement benefits liability adjustment(1,507,000,000)(1,147,000,000)
Accumulated other comprehensive loss(793,000,000)(614,000,000)
 
Retained earnings11,143,000,0009,879,000,000
Less treasury stock, at cost(5,286,000,000)(5,242,000,000)
Total shareholders' equity8,344,000,0006,645,000,000
 
Noncontrolling interest018,000,000
Total equity8,344,000,0006,663,000,000
 
Total liabilities and equity51,047,000,00045,682,000,000
 
Shareholders' Equity Per Share2924
External Links 
CIGNA CORP (CI) Fiscal Year 2011
Statements of 10-K in Excel https://www.sec.gov/.../Financial.xlxs
Complete 10-K in HTML https://www.sec.gov/.../10-K.html
Complete 10-K in XBRL https://www.sec.gov/.../10-K-xbrl.zip