CB | Chubb Limited

CUSIP: H1467J104

2 Funds Holding
34.3M Total Shares
$11.7B Total Value
$338.31
Price
$130.5B
Market Cap
12.2
P/E Ratio
11.6
Forward P/E
$27.78
EPS (TTM)
1.19%
Dividend Yield
$8.0B
Cash
$17.2B
Total Debt
386M
Shares Out
$265.30
$365.91
52-Week Range

Institutional Ownership of Chubb Limited

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
Berkshire Hathaway|Warren Buffett
34.2M $11.7B
3.90%
$252.56 +33.95%
Wedgewood Partners|David Rolfe
68.0K $23M
4.79%
$300.82 +12.46%

Trading Activity for Chubb Limited

Fund / Manager Click to search
Action Change Shares After Value Price
2026-Q2
BUY +26.3% 68.0K $23M $326.95
2026-Q1
SELL -4.7% 53.9K $18M $325.10
2025-Q4
BUY +9.3% 34.2M $10.7B $293.96
BUY NEW 56.5K $18M $293.96
2025-Q3
BUY +15.9% 31.3M $8.8B $275.07
2024-Q4
SELL EXIT $283.87
2024-Q3
BUY NEW 148.8K $43M $272.37
2024-Q2
BUY +232.0% 27.0M $6.9B $255.08
2024-Q1
SELL -59.5% 8.1M $1.7B $248.26
2023-Q4
BUY NEW 20.1M $4.5B $220.02
SELL EXIT $220.02
2023-Q3
BUY NEW 10.2K $2M $201.67
2021-Q3
SELL EXIT $176.93
2021-Q2
SELL -0.8% 465.3K $74M $166.16
2021-Q1
BUY +2.4% 468.8K $74M $162.03
2020-Q4
SELL -43.7% 457.9K $70M $148.88
2020-Q3
BUY +23.8% 813.9K $95M $125.83
2020-Q2
BUY NEW 657.2K $83M $115.57
2020-Q1
SELL EXIT $151.99
2019-Q4
SELL -15.0% 510.2K $79M $152.82
2019-Q3
SELL -18.9% 600.0K $97M $154.95
2019-Q2
SELL -21.8% 739.6K $109M $145.05
2019-Q1
SELL -19.3% 946.3K $133M $133.21
2018-Q4
SELL -14.9% 1.2M $151M $128.44
2018-Q3
SELL -5.9% 1.4M $184M $135.24
2018-Q2
BUY +6.9% 1.5M $186M $133.53
2018-Q1
BUY +7.2% 1.4M $187M $144.19

Insider Trading for Chubb Limited

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.