Document/ExhibitDescriptionPagesSize
1: 10-K Annual Report HTML 7.85M
2: EX-21.1 Subsidiaries List HTML 53K
3: EX-23.1 Consent of Expert or Counsel HTML 50K
4: EX-31.1 Certification -- §302 - SOA'02 HTML 55K
5: EX-31.2 Certification -- §302 - SOA'02 HTML 55K
6: EX-32.1 Certification -- §906 - SOA'02 HTML 52K
7: EX-32.2 Certification -- §906 - SOA'02 HTML 52K
13: R1 Cover Page HTML 118K
14: R2 Audit Information HTML 55K
15: R3 Consolidated Statements of Operations HTML 134K
16: R4 Consolidated Statements of Comprehensive (Loss) HTML 83K
Income
17: R5 Consolidated Balance Sheets HTML 158K
18: R6 Consolidated Balance Sheets - (Parenthetical) HTML 82K
19: R7 Consolidated Statements of Cash Flows HTML 154K
20: R8 Consolidated Statements of Stockholders' Equity HTML 89K
21: R9 Consolidated Statements of Stockholders' Equity - HTML 52K
(Parenthetical)
22: R10 Summary of Significant Accounting Policies HTML 113K
23: R11 Investments HTML 350K
24: R12 Fair Value HTML 236K
25: R13 Income Taxes HTML 98K
26: R14 Claim and Claim Adjustment Expense Reserves and HTML 1.44M
Future Policy Benefit Reserves
27: R15 Legal Proceedings, Contingencies and Guarantees HTML 53K
28: R16 Reinsurance HTML 138K
29: R17 Debt HTML 77K
30: R18 Benefit Plans HTML 222K
31: R19 Stock-Based Compensation HTML 65K
32: R20 Other Intangible Assets HTML 73K
33: R21 Leases HTML 66K
34: R22 Stockholders' Equity and Statutory Accounting HTML 68K
Practices
35: R23 Accumulated Other Comprehensive Income (Loss) by HTML 90K
Component
36: R24 Business Segments HTML 351K
37: R25 Related Party Transactions HTML 54K
38: R26 Non-Insurance Revenues from Contracts with HTML 57K
Customers
39: R27 Schedule I. Summary of Investments - Other Than HTML 53K
Investments in Related Parties
40: R28 Schedule II. Condensed Financial Information of HTML 133K
Registrant (Parent Company)
41: R29 Schedule III. Supplementary Insurance Information HTML 52K
42: R30 Schedule IV. Reinsurance HTML 53K
43: R31 Schedule V. Valuation and Qualifying Accounts HTML 91K
44: R32 Schedule VI. Supplemental Information Concerning HTML 71K
Property and Casualty Insurance Operations
45: R33 Summary of Significant Accounting Policies HTML 165K
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47: R35 Fair Value (Tables) HTML 232K
48: R36 Income Taxes (Tables) HTML 96K
49: R37 Claim and Claim Adjustment Expense Reserves and HTML 1.44M
Future Policy Benefit Reserves (Tables)
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51: R39 Debt (Tables) HTML 73K
52: R40 Benefit Plans (Tables) HTML 219K
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55: R43 Leases (Tables) HTML 69K
56: R44 Stockholders' Equity and Statutory Accounting HTML 60K
Practices (Tables)
57: R45 Accumulated Other Comprehensive Income (Loss) by HTML 91K
Component (Tables)
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59: R47 Summary of Significant Accounting Policies HTML 147K
(Narrative) (Details)
60: R48 Investments (Net investment income) (Details) HTML 79K
61: R49 Investments (Narrative) (Details) HTML 133K
62: R50 Investments (Net realized investment gains HTML 67K
(Losses)) (Details)
63: R51 Investments (Components of other-than-temporary HTML 57K
impairment losses recognized in earnings)
(Details)
64: R52 Investments (Summary of fixed maturity and equity HTML 109K
securities) (Details)
65: R53 Investments (Securities in a gross unrealized loss HTML 100K
position) (Details)
66: R54 Investments (Securities in a gross unrealized loss HTML 71K
position by ratings) (Details)
67: R55 Investments (Allowance on available-for-sale HTML 79K
securities with credit impairments and PCD assets
activity) (Details)
68: R56 Investments (Contractual maturity) (Details) HTML 77K
69: R57 Investments (Credit quality indicator) (Details) HTML 103K
70: R58 Fair Value (Assets and liabilities measured at HTML 101K
fair value on a recurring basis) (Details)
71: R59 Fair Value (Table of reconciliation for assets and HTML 118K
liabilities measured at fair value on a recurring
basis using significant unobservable inputs)
(Details)
72: R60 Fair Value (Narrative) (Details) HTML 51K
73: R61 Fair Value (Quantitative information about HTML 65K
significant unobservable inputs in the fair value
measurement of level 3 assets) (Details)
74: R62 Fair Value (Carrying amount and estimated fair HTML 74K
value of financial instrument assets and
liabilities which are not measured at fair value)
(Details)
75: R63 Income Taxes (Narrative) (Details) HTML 82K
76: R64 Income Taxes (Reconciliation between the Company's HTML 66K
federal income tax (Expense) Benefit at Statutory
Rates and the Recorded Income Tax (Expense)
Benefit) (Details)
77: R65 Income Taxes (Current and deferred components of HTML 61K
the Company's income tax (Expense) Benefit)
(Details)
78: R66 Income Taxes (Significant components of the HTML 86K
Company's deferred tax assets and liabilities)
(Details)
79: R67 Claim and Claim Adjustment Expense Reserves and HTML 73K
Future Policy Benefit Reserves (Reconciliation of
Liability for Unpaid Claim and Claim Adjustment
Expense) (Details)
80: R68 Claim and Claim Adjustment Expense Reserves and HTML 82K
Future Policy Benefit Reserves (Reconciliation of
Claim and Claim Adjustment Expense Reserves)
(Details)
81: R69 Claim and Claim Adjustment Expense Reserves and HTML 88K
Future Policy Benefit Reserves (Gross and Net
Carried Claim and Claim Adjustment Expense
Reserves) (Details)
82: R70 Claim and Claim Adjustment Expense Reserves and HTML 61K
Future Policy Benefit Reserves (Net Prior Year
Development) (Details)
83: R71 Claim and Claim Adjustment Expense Reserves and HTML 114K
Future Policy Benefit Reserves (Narrative)
(Details)
84: R72 Claim and Claim Adjustment Expense Reserves and HTML 64K
Future Policy Benefit Reserves (Specialty - Net
Prior Year Claim and Allocated Claim Adjustment
Expense Reserve Development) (Details)
85: R73 Claim and Claim Adjustment Expense Reserves and HTML 68K
Future Policy Benefit Reserves (Specialty - Line
of Business Composition) (Details)
86: R74 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Specialty -
Medical Professional Liability - Cumulative Net
Incurred Claims and Allocated Claim Adjustment
Expenses) (Details)
87: R75 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Specialty -
Medical Professional Liability - Net Cumulative
Paid Claim and Claim Adjustment Expenses)
(Details)
88: R76 Claim and Claim Adjustment Expense Reserves and HTML 103K
Future Policy Benefit Reserves (Specialty -
Medical Professional Liability - Net Strengthening
or Releasing of Prior Accident Year Reserves)
(Details)
89: R77 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Specialty - Other
Professional Liability and Management Liability -
Net Incurred Claims and Allocated Claim Adjustment
Expenses) (Details)
90: R78 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Specialty - Other
Professional Liability and Management Liability -
Net Cumulative Paid Claim and Claim Adjustment
Expenses) (Details)
91: R79 Claim and Claim Adjustment Expense Reserves and HTML 103K
Future Policy Benefit Reserves (Specialty - Other
Professional Liability and Management Liability -
Net Strengthening or Releasing of Prior Accident
Year Reserves) (Details)
92: R80 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Specialty - Surety
- Net Incurred Claims and Allocated Claim
Adjustment Expenses) (Details)
93: R81 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Specialty - Surety
- Net Cumulative Paid Claim and Claim Adjustment
Expenses) (Details)
94: R82 Claim and Claim Adjustment Expense Reserves and HTML 102K
Future Policy Benefit Reserves (Specialty - Surety
- Net Strengthening or Releasing of Prior Accident
Year Reserves) (Details)
95: R83 Claim and Claim Adjustment Expense Reserves and HTML 62K
Future Policy Benefit Reserves (Commercial - Net
Prior Year Claim and Allocated Claim Adjustment
Expense Reserve Development) (Details)
96: R84 Claim and Claim Adjustment Expense Reserves and HTML 66K
Future Policy Benefit Reserves (Commercial -
Commercial Auto - Short Duration Contracts)
(Details)
97: R85 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Commercial -
Commercial Auto - Net Incurred Claims and
Allocated Claim Adjustment Expenses) (Details)
98: R86 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Commercial -
Commercial Auto - Net Cumulative Paid Claim and
Claim Adjustment Expenses) (Details)
99: R87 Claim and Claim Adjustment Expense Reserves and HTML 104K
Future Policy Benefit Reserves (Commercial -
Commercial Auto - Net Strengthening or Releasing
of Prior Accident Year Reserves) (Details)
100: R88 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Commercial -
General Liability - Net Incurred Claims and
Allocated Claim Adjustment Expenses) (Details)
101: R89 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (Commercial -
General Liability - Net Cumulative Paid Claim and
Claim Adjustment Expenses) (Details)
102: R90 Claim and Claim Adjustment Expense Reserves and HTML 104K
Future Policy Benefit Reserves (Commercial -
General Liability - Net Strengthening or Releasing
of Prior Accident Year Reserves) (Details)
103: R91 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Commercial -
Workers' Compensation - Net Incurred Claims and
Allocated Claim Adjustment Expenses) (Details)
104: R92 Claim and Claim Adjustment Expense Reserves and HTML 108K
Future Policy Benefit Reserves (Commercial -
Workers' Compensation - Net Cumulative Paid Claim
and Claim Adjustment Expenses) (Details)
105: R93 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (Commercial -
Workers' Compensation - Net Strengthening or
Releasing of Prior Accident Year Reserves)
(Details)
106: R94 Claim and Claim Adjustment Expense Reserves and HTML 60K
Future Policy Benefit Reserves (International -
Net prior year claim and allocated claim
adjustment expense reserve development) (Details)
107: R95 Claim and Claim Adjustment Expense Reserves and HTML 61K
Future Policy Benefit Reserves (International -
Short Duration Contracts) (Details)
108: R96 Claim and Claim Adjustment Expense Reserves and HTML 106K
Future Policy Benefit Reserves (International -
Excluding Hardy - Net Incurred Claims and
Allocated Claim Adjustment Expenses) (Details)
109: R97 Claim and Claim Adjustment Expense Reserves and HTML 105K
Future Policy Benefit Reserves (International -
Excluding Hardy - Net Cumulative Paid Claim and
Claim Adjustment Expenses) (Details)
110: R98 Claim and Claim Adjustment Expense Reserves and HTML 91K
Future Policy Benefit Reserves (International -
Excluding Hardy - Net Strengthening or Releasing
of Prior Accident Year Reserves) (Details)
111: R99 Claim and Claim Adjustment Expense Reserves and HTML 143K
Future Policy Benefit Reserves (International -
Hardy - Net Incurred Claims and Allocated Claim
Adjustment Expenses) (Details)
112: R100 Claim and Claim Adjustment Expense Reserves and HTML 104K
Future Policy Benefit Reserves (International -
Hardy - Net Cumulative Paid Claim and Claim
Adjustment Expenses) (Details)
113: R101 Claim and Claim Adjustment Expense Reserves and HTML 91K
Future Policy Benefit Reserves (International -
Hardy - Net Strengthening or Releasing of Prior
Accident Year Reserves) (Details)
114: R102 Claim and Claim Adjustment Expense Reserves and HTML 110K
Future Policy Benefit Reserves (Historical Claims
Duration) (Details)
115: R103 Claim and Claim Adjustment Expense Reserves and HTML 61K
Future Policy Benefit Reserves (Impact of Loss
Portfolio Transfer on the Consolidated Statement
of Operations) (Details)
116: R104 Claim and Claim Adjustment Expense Reserves and HTML 56K
Future Policy Benefit Reserves (Life & Group
Policyholder Reserves) (Details)
117: R105 Legal Proceedings, Contingencies and Guarantees HTML 54K
(Narrative) (Details)
118: R106 Reinsurance (Components of Reinsurance HTML 64K
Receivables) (Details)
119: R107 Reinsurance (Voluntary Reinsurance) (Details) HTML 57K
120: R108 Reinsurance (Narrative) (Details) HTML 69K
121: R109 Reinsurance (Components of Earned Premiums) HTML 75K
(Details)
122: R110 Reinsurance (Components of Written Premiums) HTML 71K
(Details)
123: R111 Debt (Schedule of debt instruments) (Details) HTML 81K
124: R112 Debt (Narrative) (Details) HTML 73K
125: R113 Debt (Maturity of debt) (Details) HTML 73K
126: R114 Benefit Plans (Funded Status) (Details) HTML 126K
127: R115 Benefit Plans (Narrative) (Details) HTML 94K
128: R116 Benefit Plans (Components of Net Periodic Cost HTML 67K
(Benefit)) (Details)
129: R117 Benefit Plans (Schedule of Non-Service Cost HTML 59K
(Benefit) Presented in the Consolidated Statement
of Operations) (Details)
130: R118 Benefit Plans (Schedule of Amounts Recognized in HTML 65K
Other Comprehensive Income) (Details)
131: R119 Benefit Plans (Actuarial Assumptions for Benefit HTML 58K
Obligations) (Details)
132: R120 Benefit Plans (Actuarial Assumptions for Net Cost HTML 61K
or Benefit) (Details)
133: R121 Benefit Plans (Fair Value of Plan Assets Measured HTML 119K
on a Recurring Basis) (Details)
134: R122 Benefit Plans (Estimated Future Minimum Benefit HTML 68K
Payments to Participants) (Details)
135: R123 Stock-Based Compensation (Narrative) (Details) HTML 83K
136: R124 Stock-Based Compensation (Restricted shares, HTML 79K
performance-based restricted share units and
performance share unit activity) (Details)
137: R125 Other Intangible Assets (Summary of Other HTML 73K
Intangible Assets) (Details)
138: R126 Other Intangible Assets (Narrative) (Details) HTML 67K
139: R127 Leases (Narrative) (Detail) HTML 61K
140: R128 Leases (Assets and Liabilities) (Details) HTML 53K
141: R129 Leases (Maturities) (Details) HTML 69K
142: R130 Leases (Lease Term and Discount Rate) (Details) HTML 54K
143: R131 Stockholders' Equity and Statutory Accounting HTML 59K
Practices (Narrative) (Details)
144: R132 Stockholders' Equity and Statutory Accounting HTML 56K
Practices (Combined statutory capital and surplus
and net income (Loss)) (Details)
145: R133 Accumulated Other Comprehensive Income (Loss) by HTML 90K
Component (Schedule of Accumulated Other
Comprehensive Income (Loss) by Component)
(Details)
146: R134 Business Segments (Narrative) (Details) HTML 59K
147: R135 Business Segments (Income Statement Information) HTML 154K
(Details)
148: R136 Business Segments (Balance Sheet Information) HTML 108K
(Details)
149: R137 Business Segments (Revenues by Line of Business) HTML 90K
(Details)
150: R138 Related Party Transactions Narrative (Details) HTML 71K
151: R139 Non-Insurance Revenues from Contracts with HTML 65K
Customers (Narrative) (Details)
152: R140 Non-Insurance Revenues from Contracts with HTML 64K
Customers (Performance obligation) (Details)
153: R141 Schedule II. Condensed Financial Information of HTML 104K
Registrant (Parent Company) (Schedule of Condensed
Financial Information of Registrant, Statements of
Operations and Comprehensive Income (Loss))
(Details)
154: R142 Schedule II. Condensed Financial Information of HTML 132K
Registrant (Parent Company) (Schedule of Condensed
Financial Information of Registrant, Balance
Sheets) (Details)
155: R143 Schedule II. Condensed Financial Information of HTML 115K
Registrant (Parent Company) (Schedule of Condensed
Financial Information of Registrant, Statements of
Cash Flows) (Details)
156: R144 Schedule II. Condensed Financial Information of HTML 54K
Registrant (Parent Company) (Narrative) (Details)
157: R145 Schedule V. Valuation and Qualifying Accounts HTML 69K
(Schedule of valuation and qualifying accounts)
(Details)
158: R146 Schedule VI. Supplemental Information Concerning HTML 85K
Property and Casualty Insurance Operations
(Details)
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(As adopted by Section 906 of the Sarbanes-Oxley Act of 2002)
The undersigned, the Chief Executive Officer of CNA Financial Corporation (the Company), hereby certifies that, to his knowledge:
•the
Company’s Annual Report on Form 10-K for the year ended December 31, 2022 filed on the date hereof with the Securities and Exchange Commission (the Report) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
•the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
The foregoing certification
is being furnished solely pursuant to 18 U.S.C. § 1350 and is not being filed as part of the Report or as a separate disclosure document.