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
Net income662-381767981,682896-3,1311,8072,0851,7372,3651,8152,5043,111
Net realized losses----------530-627-188-61
Amortization of deferred policy acquisition costs---1,7291,5021,5231,4171,4421,6221,7061,6801,8352,0442,282
Additions to deferred policy acquisition costs----1,3901,3901,3831,4041,6351,6661,7511,9472,1592,408
Depreciation and amortization668467189276373398399467451562680625510356
Loss on extinguishment of debt--910-213--21---6-90---9--
Other operating activities, net------4084087685-133109213329
Increase in reinsurance recoverables3135156122-146-2419353238154058247315554
Net change in accrued and deferred income taxes----328-363250-103-886-459-858029100
Increase in insurance liabilities1,451-226-3082263053531,6484937681,4262,4162,1991,8193,058
Increase (Decrease) in Premiums Receivable-----------562708458
Net change in other assets and other liabilities-----1511,177-87378-881581497268
Cash provided by operating activities2,2742,6811,2371,8862,7562,0662,1862,8433,4893,8714,0934,0084,2205,909
Fixed maturities, AFS---25,30925,94624,48631,64624,70018,49919,53422,45714,9966,80610,808
Proceeds From Sale and Maturity of Fair Value Option, Fixed Maturity Securties-----------2250
Proceeds from Sale and Maturity of Marketable Securities-------1,2301,5531,4856261,2132,173401
Mortgage loans5155154686467926477344837719481,5069731,036740
Proceeds from Limited Partnership Investments---490624779274433238167537349295238
Fixed maturities, AFS37,62742,57835,44622,54527,74421,84430,92323,17319,88121,11221,75414,2559,10514,023
Payments for the purchase of Fair Value Option Fixed Maturity Securties-----------216-52
Equity securities at fair value-------1,5001,3169621,4201,3711,18344
Mortgage loans1,8001,4837186048707171,0969831,2751,2642,3861,5961,0551,025
Limited partnerships and other alternative investments---3126204415094813034911,3171,095966664
Net proceeds from (payments for) derivatives-7202,6652,208-10173247314224-32-1127-54129-35
Net additions to property and equipment---121307224250122105114133175215145
Net payments for short-term investments---3181,814-3,0711,3771443,460-1,4913684171606980
Other investing activities, net15781-618-1131-213-131169-4217
Net cash used for investing activities-1,182-2,5573,7451,696485949-1,442-1,962-2,148-2,066-2,466-1,277-2,431-3,768
Additions to Contract Holders Funds---5,2894,7184,1864,6021,81412360898896108
Withdrawals and other deductions from investment and universal life-type contracts---21,87017,08514,79013,5629,21012410275102100115
Repayment of debt------4168261,583500-600--
ProceedsPaymentsIssuanceReturnOfSharesUnderIncentiveAndShareBasedCompensationPlans------------19622
Treasury stock acquired, including related excise tax paid---1,7961,2501,3301,028-2001501,7021,5501,4001,514
Payments for Repurchase of Preferred Stock and Preference Stock424221-----212121212121
Dividends paid on common stock153175202282316334341379433457485506528556
Net cash used for financing activities-609-228-5,820-4,476-3,144-2,541-979-1,467-1,191-1,778-1,581-2,710-1,947-2,076
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations------------143-20
Net increase (decrease) in cash and restricted cash----------23987-15545
Income tax paid179-48669-31380-1306-9-396-496548622812
Interest paid--------261232214212209211