Cincinnati Financial Corporation company logo

# 1st Gen Model Cincinnati Financial Corporation Fire, marine, & casualty insurance

61.54% successful of 39 deals
$74.42 Last close price
at 21-jul-2017

CINF

Model's trade recommendations 1.41% Return for period

-0.62% Annual return

$12.07B Market Cap

β 0.88  

CINF

Model (following trade recommendations)

CINF

Underlying stock

S&P 500

Index
Return for period 1.41%
3.64%
1.78%
52wk return 3.61%
0.00%
16.82%
52wk Range
68.26—78.84
2000.54—2399.63
Sortino ratio -0.14
Sharpe ratio -0.11
Norm. RMSE 0.19%
Downside risk 5.23%
Volatility 6.56%
  • 2.00 (2.73%) Div (Yield)
  • SELL Analysts consensus recommendation

Cincinnati Financial Corporation offers property and casualty insurance, its main business, through The Cincinnati Insurance Company, The Cincinnati Indemnity Company and The Cincinnati Casualty Company. The Cincinnati Life Insurance Company markets life and disability income insurance and annuities. CFC Investment Company offers commercial leasing and financing services. CinFin Capital Management Company provides asset management services to institutions, corporations and individuals.

Industry sector: Finance

Sector classification: Fire, marine, & casualty insurance

Deep Learning based analysis and prediction model for Cincinnati Financial Corporation (CINF) stock is a 1st Generation Non-linear Autoregresive with exogenous variable(s) (NARX) model based on the Recurrent Neural Network architecture.

Model is in the production pipeline since Oct. 2, 2015.

Market data for CINF model training are being downloaded from the Quandl premium datasets on a daily basis.

Model is being retrained on a daily basis.

Float 149M
P/E 26.47
Shares Outstanding 165M
% Held by Insiders 9.25%
% Held by Institutions 63.02%
EPS (last reported FY) $3.07
EPS (last reported Q) $0.59
EPS, estimated (last reported Q) $0.54
Total revenues $5 B
Net income $1 B