Quarterly Report — Form 10-Q — Sect. 13 / 15(d) – SEA’34
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 10-Q Quarterly Report HTML 745K
2: EX-10.1 Material Contract HTML 53K
3: EX-31.1 Certification -- §302 - SOA'02 HTML 29K
4: EX-31.2 Certification -- §302 - SOA'02 HTML 29K
5: EX-32.1 Certification -- §906 - SOA'02 HTML 24K
6: EX-32.2 Certification -- §906 - SOA'02 HTML 24K
13: R1 Document and Entity Information HTML 41K
14: R2 Condensed Consolidated Statements of Operations HTML 83K
(Unaudited)
15: R3 Condensed Consolidated Statements of Comprehensive HTML 46K
Income (Unaudited)
16: R4 Condensed Consolidated Balance Sheets HTML 113K
17: R5 Condensed Consolidated Balance Sheets - HTML 48K
(Parenthetical)
18: R6 Condensed Consolidated Statements of Cash Flows HTML 127K
(Unaudited)
19: R7 Condensed Consolidated Statements of Stockholders' HTML 44K
Equity (Unaudited)
20: R8 General HTML 39K
21: R9 Earnings Per Share HTML 27K
22: R10 Investments HTML 365K
23: R11 Fair Value HTML 402K
24: R12 Claim and Claim Adjustment Expense Reserves HTML 152K
25: R13 Legal Proceedings and Guarantees HTML 36K
26: R14 Benefit Plans HTML 36K
27: R15 Accumulated Other Comprehensive Income (Loss) by HTML 77K
Component
28: R16 Business Segments HTML 338K
29: R17 General (Policies) HTML 42K
30: R18 Investments (Tables) HTML 369K
31: R19 Fair Value (Tables) HTML 401K
32: R20 Claim and Claim Adjustment Expense Reserves HTML 146K
(Tables)
33: R21 Benefit Plans (Tables) HTML 34K
34: R22 Accumulated Other Comprehensive Income (Loss) by HTML 76K
Component (Tables)
35: R23 Business Segments (Tables) HTML 333K
36: R24 General - Narrative (Details) HTML 28K
37: R25 Earnings Per Share - Narrative (Details) HTML 28K
38: R26 Investments - Narrative (Details) HTML 42K
39: R27 Investments - Net investment income (Details) HTML 43K
40: R28 Investments - Net realized investment gains HTML 39K
(Losses) (Details)
41: R29 Investments - Components of other-than-temporary HTML 38K
impairment losses recognized in earnings (Details)
42: R30 Investments - Summary of fixed maturity and equity HTML 88K
securities (Details)
43: R31 Investments - Securities in a gross unrealized HTML 91K
loss position (Details)
44: R32 Investments - Activity related to the pretax fixed HTML 28K
maturity credit loss component reflected within
retained earnings for securities still held for
which a portion of an OTTI loss was recognized in
OCI (Details)
45: R33 Investments - Contractual maturity (Details) HTML 55K
46: R34 Fair Value - Narrative (Details) HTML 30K
47: R35 Fair Value - Assets and liabilities measured at HTML 119K
fair value on a recurring basis (Details)
48: R36 Fair Value - Reconciliation for assets and HTML 105K
liabilities measured at fair value on a recurring
basis using significant unobservable inputs)
(Details)
49: R37 Fair Value - Quantitative information about HTML 34K
significant unobservable inputs in the fair value
measurement of level 3 assets (Details)
50: R38 Fair Value - Carrying amount and estimated fair HTML 51K
value of financial instrument assets and
liabilities which are not measured at fair value
(Details)
51: R39 Claim and Claim Adjustment Expense Reserves - HTML 47K
Narrative (Details)
52: R40 Claim and Claim Adjustment Expense Reserves - HTML 53K
Reconciliation of claim and claim adjustment
expense reserves (Details)
53: R41 Claim and Claim Adjustment Expense Reserves - Net HTML 40K
prior year development (Details)
54: R42 Claim and Claim Adjustment Expense Reserves - Net HTML 37K
prior year claim and allocated claim adjustment
expense reserve development for Specialty segment
(Details)
55: R43 Claim and Claim Adjustment Expense Reserves - Net HTML 35K
prior year claim and allocated claim adjustment
expense reserve development for Commercial segment
(Details)
56: R44 Claim and Claim Adjustment Expense Reserves - Net HTML 37K
prior year claim and allocated claim adjustment
expense reserve development for International
segment (Details)
57: R45 Claim and Claim Adjustment Expense Reserves - HTML 29K
Impact of Loss Portfolio Transfer on the
Consolidated Statement of Operations (Details)
58: R46 Legal Proceedings and Guarantees - Narrative HTML 47K
(Details)
59: R47 Benefit Plans - Components of net periodic cost HTML 36K
(Benefit) (Details)
60: R48 Accumulated Other Comprehensive Income (Loss) by HTML 61K
Component - Changes in accumulated other
comprehensive income (Loss) by Component (Details)
61: R49 Business Segments - Narrative (Details) HTML 27K
62: R50 Business Segments - Income Statement Information HTML 112K
(Details)
63: R51 Business Segments - Balance Sheet Information HTML 73K
(Details)
64: R52 Business Segments - Revenues by Line of Business HTML 56K
(Details)
66: XML IDEA XML File -- Filing Summary XML 117K
65: EXCEL IDEA Workbook of Financial Reports XLSX 82K
7: EX-101.INS XBRL Instance -- cna-20170331 XML 4.67M
9: EX-101.CAL XBRL Calculations -- cna-20170331_cal XML 272K
10: EX-101.DEF XBRL Definitions -- cna-20170331_def XML 569K
11: EX-101.LAB XBRL Labels -- cna-20170331_lab XML 1.39M
12: EX-101.PRE XBRL Presentations -- cna-20170331_pre XML 880K
8: EX-101.SCH XBRL Schema -- cna-20170331 XSD 160K
67: ZIP XBRL Zipped Folder -- 0000021175-17-000081-xbrl Zip 260K
Filing Submission 0000021175-17-000081 – SGML Text
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