10-K.Info (Beta Test) Courtesy of Short Sands, LLC | ||||||||||||||
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10-K.Info (Beta Test) Courtesy of Short Sands, LLC | |||
CIGNA GROUP | |||
Ticker: CI Fiscal Year: 2021 | |||
Consolidated Statements of Income | |||
Period Ending Dec 31, 2021 10-K (Filed: Feb 24, 2022) | |||
(In Millions, except shares in actual) | |||
12 Months Ended | 12 Months Ended | 12 Months Ended | |
Dec 31, 2021 | Dec 31, 2020 | Dec 31, 2019 | |
Revenues | |||
Premiums | $ 41,154 | 42,627 | 39,714 |
Net investment income | 1,549 | 1,244 | 1,390 |
TOTAL REVENUES | 174,078 | 160,401 | 153,566 |
Benefits and expenses | |||
Pharmacy and other service costs | 117,553 | 103,484 | 97,668 |
Medical costs and other benefit expenses | 33,562 | 32,710 | 30,819 |
Selling, general and administrative expenses | 13,030 | 14,072 | 14,053 |
Amortization of acquired intangible assets | 1,998 | 1,982 | 2,949 |
TOTAL BENEFITS AND EXPENSES | 166,143 | 152,248 | 145,489 |
Income from operations | 7,935 | 8,153 | 8,077 |
Interest expense and other | (1,208) | (1,438) | (1,682) |
Debt extinguishment costs | (141) | (199) | (2) |
Gain (loss) on sale of business | 0 | 4,203 | 0 |
Net realized investment gains (losses) | 196 | 149 | 177 |
Income before income taxes | 6,782 | 10,868 | 6,570 |
TOTAL INCOME TAXES | 1,367 | 2,379 | 1,450 |
Net income | 5,415 | 8,489 | 5,120 |
Less: Net income attributable to noncontrolling interests | 50 | 31 | 16 |
SHAREHOLDERS' NET INCOME | 5,365 | 8,458 | 5,104 |
Shareholders' net income per share | |||
Basic (in dollars per share) | 15.87 | 23.17 | 13.58 |
Diluted (in dollars per share) | 15.73 | 22.96 | 13.44 |
Product and Service | |||
Pharmacy revenues | |||
Revenues | 121,413 | 107,769 | 103,099 |
Fees and other revenues | |||
Revenues | 9,962 | 8,761 | 9,363 |
10-K.Info (Beta Test) Courtesy of Short Sands, LLC | |||
CIGNA GROUP | |||
Ticker: CI Fiscal Year: 2021 | |||
Consolidated Statements of Comprehensive Income | |||
Period Ending Dec 31, 2021 10-K (Filed: Feb 24, 2022) | |||
(In Millions, except shares in actual) | |||
12 Months Ended | 12 Months Ended | 12 Months Ended | |
Dec 31, 2021 | Dec 31, 2020 | Dec 31, 2019 | |
Net income | $ 5,415 | 8,489 | 5,120 |
Other comprehensive income (loss), net of tax | |||
Net unrealized appreciation (depreciation) on securities and derivatives | (215) | (75) | 957 |
Net translation gains (losses) on foreign currencies | (232) | 252 | (59) |
Postretirement benefits liability adjustment | 410 | (105) | (133) |
Other comprehensive income (loss), net of tax | (37) | 72 | 765 |
Total comprehensive income | 5,378 | 8,561 | 5,885 |
Comprehensive income (loss) attributable to noncontrolling interests | |||
Net income attributable to redeemable noncontrolling interests | 19 | 14 | 11 |
Net income attributable to other noncontrolling interests | 31 | 17 | 5 |
Other comprehensive (loss) attributable to redeemable noncontrolling interests | (14) | (8) | (5) |
Total comprehensive income attributable to noncontrolling interests | 36 | 23 | 11 |
SHAREHOLDERS' COMPREHENSIVE INCOME | 5,342 | 8,538 | 5,874 |
10-K.Info (Beta Test) Courtesy of Short Sands, LLC | |||
CIGNA GROUP | |||
Ticker: CI Fiscal Year: 2021 | |||
Consolidated Statements of Cash Flows | |||
Period Ending Dec 31, 2021 10-K (Filed: Feb 24, 2022) | |||
(In Millions, except shares in actual) | |||
12 Months Ended | 12 Months Ended | 12 Months Ended | |
Dec 31, 2021 | Dec 31, 2020 | Dec 31, 2019 | |
Cash Flows from Operating Activities | |||
Net income | $ 5,415 | 8,489 | 5,120 |
Adjustments to reconcile net income to net cash provided by operating activities: | |||
Depreciation and amortization | 2,923 | 2,802 | 3,651 |
Realized investment (gains) losses, net | (196) | (149) | (177) |
Deferred income tax (benefit) | (220) | (386) | (313) |
Gain on sale of business | 0 | (4,203) | 0 |
Debt extinguishment costs | 141 | 199 | 2 |
Net changes in assets and liabilities, net of non-operating effects: | |||
Accounts receivable | (2,843) | (1,496) | (713) |
Inventories | (557) | (504) | 149 |
Deferred policy acquisition costs | (267) | (307) | (242) |
Reinsurance recoverable and Other assets | (389) | 230 | (277) |
Insurance liabilities | 967 | 841 | 575 |
Pharmacy and other service costs payable | 1,961 | 2,891 | (192) |
Accounts payable and Accrued expenses and other liabilities | (77) | 1,346 | 1,343 |
Other, net | 333 | 597 | 559 |
NET CASH PROVIDED BY OPERATING ACTIVITIES | 7,191 | 10,350 | 9,485 |
Cash Flows from Investing Activities | |||
Proceeds from investments sold: | |||
Debt securities and equity securities | 2,030 | 2,283 | 3,487 |
Investment maturities and repayments: | |||
Debt securities and equity securities | 1,628 | 1,519 | 1,825 |
Commercial mortgage loans | 180 | 19 | 199 |
Other sales, maturities and repayments (primarily short-term and other long-term investments) | 1,936 | 1,575 | 1,311 |
Investments purchased or originated: | |||
Debt securities and equity securities | (3,553) | (4,765) | (4,282) |
Commercial mortgage loans | (327) | (113) | (307) |
Other (primarily short-term and other long-term investments) | (2,554) | (1,924) | (1,753) |
Property and equipment purchases, net | (1,154) | (1,094) | (1,050) |
Acquisitions, net of cash acquired | (1,833) | (139) | (153) |
Divestiture, net of cash sold | (61) | 5,592 | 0 |
Other, net | 97 | 23 | (11) |
NET CASH (USED IN) PROVIDED BY INVESTING ACTIVITIES | (3,611) | 2,976 | (734) |
Cash Flows from Financing Activities | |||
Deposits and interest credited to contractholder deposit funds | 153 | 1,023 | 955 |
Withdrawals and benefit payments from contractholder deposit funds | (168) | (979) | (1,097) |
Net change in short-term debt | 975 | 60 | (681) |
Net proceeds on issuance of term loan | 0 | 1,398 | 0 |
Repayment of term loan | 0 | (1,400) | 0 |
Payments for debt extinguishment | (136) | (212) | (3) |
Repayment of long-term debt | (4,578) | (8,047) | (4,491) |
Net proceeds on issuance of long-term debt | 4,260 | 3,465 | 0 |
Repurchase of common stock | (7,742) | (4,042) | (1,987) |
Issuance of common stock | 326 | 376 | 224 |
Common stock dividend paid | (1,341) | (15) | (15) |
Other, net | 39 | (160) | (92) |
NET CASH (USED IN) FINANCING ACTIVITIES | (8,212) | (8,533) | (7,187) |
Effect of foreign currency rate changes on cash, cash equivalents and restricted cash | (65) | 41 | (8) |
Net (decrease) increase in cash, cash equivalents and restricted cash | (4,697) | 4,834 | 1,556 |
Cash, cash equivalents and restricted cash January 1, | 10,245 [1] | 5,411 | |
Cash, cash equivalents and restricted cash, December 31, | 5,548 | 10,245 [1] | 5,411 |
Cash reclassified to assets of businesses held for sale | (425) | 0 | (743) |
Total cash, cash equivalents and restricted cash and cash equivalents | 5,123 | 10,245 [2] | 4,668 |
Supplemental Disclosure of Cash Information: | |||
Income taxes paid, net of refunds | 2,240 | 1,837 | 1,776 |
Interest paid | 1,253 | 1,439 | 1,645 |
[1] Includes $743 million reported in Assets of businesses held for sale as of January 1, 2020. | |||
[2] Restricted cash and cash equivalents were reported in Other long-term investments as of December 31, 2021 and December 31, 2020 and were reported in Other long-term investments and Other assets as of December 31, 2019. |
10-K.Info (Beta Test) Courtesy of Short Sands, LLC | ||
CIGNA GROUP | ||
Ticker: CI Fiscal Year: 2021 | ||
Consolidated Balance Sheets | ||
Period Ending Dec 31, 2021 10-K (Filed: Feb 24, 2022) | ||
(In Millions, except shares in actual) | ||
As of | As of | |
Dec 31, 2021 | Dec 31, 2020 | |
Assets | ||
Cash and cash equivalents | $ 5,081 | 10,182 |
Investments | 920 | 1,331 |
Accounts receivable, net | 15,071 | 12,191 |
Inventories | 3,722 | 3,165 |
Other current assets | 1,283 | 930 |
Assets of businesses held for sale | 10,057 | 0 |
Total current assets | 36,134 | 27,799 |
Long-term investments | 18,438 | 23,262 |
Reinsurance recoverables | 4,970 | 5,200 |
Deferred policy acquisition costs | 677 | 3,385 |
Property and equipment | 3,692 | 4,205 |
Goodwill | 45,811 | 44,648 |
Other intangible assets | 34,102 | 35,179 |
Other assets | 2,728 | 2,687 |
Separate account assets | 8,337 | 9,086 |
TOTAL ASSETS | 154,889 | 155,451 |
Liabilities | ||
Current insurance and contractholder liabilities | 5,318 | 5,308 |
Pharmacy and other service costs payable | 15,309 | 13,347 |
Accounts payable | 6,655 | 5,478 |
Accrued expenses and other liabilities | 7,322 | 8,515 |
Short-term debt | 2,545 | 3,374 |
Liabilities of businesses held for sale | 6,423 | 0 |
Total current liabilities | 43,572 | 36,022 |
Non-current insurance and contractholder liabilities | 12,563 | 16,844 |
Deferred tax liabilities, net | 8,346 | 8,939 |
Other non-current liabilities | 3,762 | 4,629 |
Long-term debt | 31,125 | 29,545 |
Separate account liabilities | 8,337 | 9,086 |
TOTAL LIABILITIES | 107,705 | 105,065 |
Contingencies Note 22 | ||
Redeemable noncontrolling interests | 54 | 58 |
Shareholders' equity | ||
Common stock | 4 [1] | 4 |
Additional paid-in capital | 29,574 | 28,975 |
Accumulated other comprehensive loss | (884) | (861) |
Retained earnings | 32,593 | 28,575 |
Less: Treasury stock, at cost | (14,175) | (6,372) |
TOTAL SHAREHOLDERS' EQUITY | 47,112 | 50,321 |
Other noncontrolling interests | 18 | 7 |
Total equity | 47,130 | 50,328 |
Total liabilities and equity | 154,889 | 155,451 |
[1] Par value per share, $0.01; shares issued, 394 million as of December 31, 2021 and 390 million as of December 31, 2020; authorized shares, 600 million. |
External Links | |
CIGNA GROUP (CI) Fiscal Year 2021 | |
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 |