American Financial Group, Inc. (AFG)
American Financial Group, Inc., an insurance holding company, provides specialty property and casualty insurance products in the United States.
It offers property and transportation insurance products, such as physical damage and liability coverage for buses and trucks, inland and ocean marine, agricultural-related products, and other commercial property coverages; specialty casualty insurance, including primarily excess and surplus, executive and professional liability, general liability, umbrella and excess liability, and specialty coverage in targeted markets, as well as customized programs for small to mid-sized businesses and workers' compensation insurance; and specialty financial insurance products comprising risk management insurance programs for lending and leasing institutions, fidelity and surety products, and trade credit insurance.
The company sells its property and casualty insurance products through independent insurance agents and brokers. In addition, the company engages in the commercial real estate operations in Cincinnati, Whitefield, New Hampshire, Chesapeake Bay, Charleston, and Palm Beach.
American Financial Group, Inc. was founded in 1872 and is headquartered in Cincinnati, Ohio.
301 E 4th St
Cincinnati, Ohio 45202-4245
|Phone||513 579 2121|
|Fiscal Year||January - December|
|Reporting Currency||US Dollars|
|Stephen Craig Lindner||Co-President, Co-Chief Executive Officer and Director|
|Carl Henry Lindner III||Co-President, Co-Chief Executive Officer and Director|
|Brian S. Hertzman||Senior Vice President and Chief Financial Officer|
|Michelle Ann Gillis SPHR||Senior Vice President and Chief Administrative Officer|
|Vito Charles Peraino Esq.||Senior Vice President and General Counsel|
|James E. Evans||Executive Consultant and Director|
|John R. Rogers||Chief Information Security Officer and Divisional Vice President|
|Diane P. Weidner||Vice President of Investor and Media Relations|
|Mark Andrew Weiss||Vice President, Assistant General Counsel and Chief Compliance Officer|
|Timothy J. Minard||Executive Vice President and Chief Distribution Officer of Annuity Operations|
Latest SEC Filings
|Dec 14, 2021||8-K||Current report|
|Dec 8, 2021||8-K||Current report|
|Nov 12, 2021||4||Statement of changes in beneficial ownership of securities|
|Nov 12, 2021||3||Initial statement of beneficial ownership of securities|
|Nov 12, 2021||8-K||Current report|
|Nov 5, 2021||10-Q||Quarterly report [Sections 13 or 15(d)]|
|Nov 5, 2021||13F-HR||Quarterly report filed by institutional managers, Holdings|
|Nov 3, 2021||8-K||Current report|
|Sep 23, 2021||4||Statement of changes in beneficial ownership of securities|
|Sep 20, 2021||4||Statement of changes in beneficial ownership of securities|
|View All SEC Filings|