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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Operating Activities:      
Net income (loss) $ 1,103 $ 1,703 $ (1,291)
Adjustments to reconcile net income (loss) to net cash provided (used) by operating activities:      
Investment (gains) losses 199 (660) 1,246
Equity method investees 236 (74) 102
Amortization of investments (129) (81) (67)
Depreciation and amortization 509 515 734
Asset impairments 33 10 810
Provision for deferred income taxes 5 213 (235)
Other non-cash items 57 71 61
Changes in operating assets and liabilities, net:      
Receivables (316) (1,409) (425)
Deferred acquisition costs (79) (30) (43)
Insurance reserves 1,791 2,463 1,681
Other assets (391) (946) (513)
Other liabilities 137 897 256
Trading securities 159 (49) (571)
Net cash flow provided by operating activities 3,314 2,623 1,745
Investing Activities:      
Purchases of fixed maturities (9,821) (9,307) (10,269)
Proceeds from sales of fixed maturities 5,909 3,816 5,904
Proceeds from maturities of fixed maturities 2,358 4,464 3,760
Purchases of equity securities (294) (304) (452)
Proceeds from sales of equity securities 509 316 355
Purchases of limited partnership investments (337) (440) (224)
Proceeds from sales of limited partnership investments 171 307 398
Purchases of property, plant and equipment (660) (482) (710)
Acquisitions (58)
Dispositions 16 80 65
(Investment in) sale of interest in Altium Packaging (79)    
(Investment in) sale of interest in Altium Packaging   417
Deconsolidation of Diamond Offshore (483)
Change in short term investments (27) (141) 427
Other, net (92) 87 (127)
Net cash flow used by investing activities (2,347) (1,187) (1,414)
Financing Activities:      
Dividends paid (61) (65) (70)
Dividends paid to noncontrolling interests (98) (64) (99)
Purchases of Loews Corporation treasury stock (729) (1,136) (923)
Purchases of subsidiary stock from noncontrolling interests (66) (18) (37)
Principal payments on debt (640) (1,193) (1,726)
Issuance of debt 573 1,199 2,659
Other, net (16) (12) (2)
Net cash flow used by financing activities (1,037) (1,289) (198)
Effect of foreign exchange rate on cash (19) (4) 9
Net change in cash (89) 143 142
Cash, beginning of year 621 478 336
Cash, end of year $ 532 $ 621 $ 478