S-3 S-3ASR EX-FILING FEES 0000021175 CNA FINANCIAL CORP 0000021175 2025-02-12 2025-02-12 0000021175 1 2025-02-12 2025-02-12 0000021175 2 2025-02-12 2025-02-12 0000021175 3 2025-02-12 2025-02-12 0000021175 4 2025-02-12 2025-02-12 0000021175 5 2025-02-12 2025-02-12 0000021175 6 2025-02-12 2025-02-12 0000021175 7 2025-02-12 2025-02-12 0000021175 8 2025-02-12 2025-02-12 0000021175 9 2025-02-12 2025-02-12 iso4217:USD xbrli:pure xbrli:shares

Calculation of Filing Fee Tables

S-3

CNA FINANCIAL CORP

Table 1: Newly Registered and Carry Forward Securities

Security Type

Security Class Title

Fee Calculation or Carry Forward Rule

Amount Registered

Proposed Maximum Offering Price Per Unit

Maximum Aggregate Offering Price

Fee Rate

Amount of Registration Fee

Carry Forward Form Type

Carry Forward File Number

Carry Forward Initial Effective Date

Filing Fee Previously Paid in Connection with Unsold Securities to be Carried Forward

Newly Registered Securities
Fees to be Paid 1 Debt Senior Debt Securities 457(r) 0.0001531
Fees to be Paid 2 Debt Subordinated Debt Securities 457(r) 0.0001531
Fees to be Paid 3 Debt Subordinated Junior Debt Securities 457(r) 0.0001531
Fees to be Paid 4 Equity Preferred Stock, no par value 457(r) 0.0001531
Fees to be Paid 5 Equity Depositary Shares 457(r) 0.0001531
Fees to be Paid 6 Equity Common Stock, 2.50 par value 457(r) 0.0001531
Fees to be Paid 7 Other Warrants 457(r) 0.0001531
Fees to be Paid 8 Other Purchase Contracts 457(r) 0.0001531
Fees to be Paid 9 Other Purchase Units 457(r) 0.0001531
Fees Previously Paid
Carry Forward Securities
Carry Forward Securities

Total Offering Amounts:

$ 0.00

$ 0.00

Total Fees Previously Paid:

$ 0.00

Total Fee Offsets:

$ 0.00

Net Fee Due:

$ 0.00

Offering Note

1

An indeterminate number and aggregate initial offering price of each identified class are being registered as may from time to time be sold at indeterminate prices, including an indeterminate number or amount of securities that may be issued upon the conversion, exchange, exercise or settlement of securities offered hereunder. Separate consideration may or may not be received for securities that are issuable upon conversion, exchange, exercise or settlement of other securities or that are represented by depositary shares or issued in purchase units. In reliance on and in accordance with Rules 456(b) and 457(r), the Registrant is deferring payment of all of the registration fees.

2

See Offering Note 1.

3

See Offering Note 1.

4

See Offering Note 1.

5

Depositary shares will be evidenced by depositary receipts issued pursuant to a deposit agreement and will represent a fractional share or multiple shares of preferred stock. See Offering Note 1.

6

See Offering Note 1.

7

Warrants may represent rights to purchase debt securities, depositary shares or shares of preferred stock or common stock registered under this registration statement. See Offering Note 1.

8

Purchase contracts may be issued separately or as purchase units. See Offering Note 1.

9

Purchase units may consist of a purchase contract and any of the debt securities registered under this registration statement or debt obligations of third parties, including U.S. treasury securities, securing the holders' obligations to purchase the applicable purchase contract securities under the purchase contract. See Offering Note 1.