HARTFORD INSURANCE GROUP, INC.HIG

Market cap
$38.4B
P/E ratio
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Debt Securities, Available-for-Sale81,80985,92262,35759,38459,19656,00336,96435,65242,14845,03542,84736,23139,81842,567
Fair Value, Option, Fixed Maturity Securities------412211--333327308
Equity securities, at fair value-------1,2141,6571,4382,0941,801864603
Financing Receivable, after Allowance for Credit Loss-----------6,0006,0876,396
Alternative Investment-------1,7231,7582,0823,3534,1774,7855,042
Other investments---53612040396192320201375159191226
Short-term investments7,7364,5814,008---2,2704,2832,9213,2833,6973,8593,8504,068
Total investments134,948134,25098,40176,27872,72870,63745,14646,79053,03056,53257,74952,56055,92259,210
Cash2,5812,4211,428399448882180121185151205229126183
Restricted Cash--------77881321156351
Accrued Investment Income Receivable------------404450
Premiums Receivable, Net------3,9103,9954,3844,2684,4454,9495,6075,998
Reinsurance Recoverables, Including Reinsurance Premium Paid4,7684,66623,33022,92023,18923,3114,0614,3575,5276,0116,5236,9667,1047,140
Deferred policy acquisition costs8,7445,7252,1611,8231,8161,7116506707857898811,0021,1131,239
Deferred income taxes, net------1,1641,248299462701,4491,1731,229
Goodwill1,0066544984984985671,2901,2901,9131,9111,9111,9111,9111,911
Property and equipment, net1,0299778778319749911,0341,0061,1811,1221,027927896888
Other intangible assets, net------6596571,070950858778707637
Other assets2,2742,7672,9981,2361,8291,7862,2302,1732,3662,0662,5772,1361,7541,981
Total assets304,064298,513277,884245,013228,348223,432225,26062,30770,81774,11176,57873,02276,78080,917
Unpaid losses and loss adjustment expenses-----27,60532,28733,02936,51737,85539,65941,24342,31844,610
Liability for Future Policy Benefit, before Reinsurance-----13,929713642635638596561484448
Policyholder Account Balance------816767755701687658638614
Unearned premiums5,2225,1455,2255,2555,3855,4995,3225,2826,6356,6297,1947,8158,5999,408
Long-term debt--6,106---4,6784,2654,3484,3524,9444,3574,3624,366
Other liabilities8,44310,1726,1046,2516,5976,9925,1884,8085,1575,2225,6554,7575,0525,024
Total liabilities281,154276,066258,979226,293210,706206,529211,76649,20654,54755,55558,73559,39161,45364,470
Preferred Stock, Value, Outstanding-------334334334334334334334
Common Stock, Value, Issued55555444444333
Additional paid-in capital10,39110,0389,8949,1238,9735,2474,3794,3784,3124,3223,3091,895648578
Retained earnings12,51910,74510,68311,19112,55013,1149,64211,05512,68513,91815,76417,04819,00721,531
Treasury Stock, Value1,7181,7401,5982,5273,5571,1251,1941,0911,1171,1921,7401,7731,8163,113
Accumulated other comprehensive loss, net of tax1,1572,843-79928-329-337663-1,579521,170172-3,876-2,849-2,886
Total stockholders' equity22,91022,44718,90518,72017,64216,90313,49413,10116,27018,55617,84313,63115,32716,447
Total liabilities and stockholders’ equity304,064298,513277,884245,013228,348223,432225,26062,30770,81774,11176,57873,02276,78080,917