bf/NYSE:HIG_icon.jpeg

COM:THEHARTFORD

The Hartford Insurance

  • Stock

USD

Last Close

119.64

22/11 21:00

Market Cap

29.61B

Beta: -

Volume Today

1.06M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
176M
-
798M
353.41%
1.68B
110.78%
896M
46.73%
-3.13B
449.44%
1.81B
157.71%
2.08B
15.38%
1.74B
16.69%
2.37B
36.15%
1.81B
23.26%
2.50B
37.96%
depreciation and amortization
189M
-
276M
46.03%
373M
35.14%
398M
6.70%
399M
0.25%
467M
17.04%
451M
3.43%
562M
24.61%
680M
21.00%
625M
8.09%
510M
18.40%
deferred income tax
3.43B
-
2.47B
27.93%
1.58B
35.95%
1.78B
12.64%
5.32B
198.54%
1.42B
73.29%
6M
99.58%
21M
250%
-25M
219.05%
stock based compensation
20M
-
30M
50%
42M
40%
9M
78.57%
-10M
211.11%
-16M
60%
-6M
62.50%
-21M
250%
25M
219.05%
-19M
176%
change in working capital
-1.53B
-
-527M
65.49%
293M
155.60%
193M
34.13%
583M
202.07%
154M
73.58%
1.20B
675.97%
1.43B
19.92%
1.76B
22.89%
935M
46.91%
920M
1.60%
accounts receivables
-970M
-
-144M
85.15%
329M
328.47%
241M
26.75%
-935M
487.97%
-323M
65.45%
-81M
74.92%
-540M
566.67%
-582M
7.78%
-1.03B
77.84%
-863M
16.62%
inventory
accounts payables
other working capital
-557M
-
-383M
31.24%
-36M
90.60%
-48M
33.33%
1.52B
3,262.50%
477M
68.58%
1.28B
167.51%
1.97B
54.62%
2.34B
18.75%
1.97B
15.92%
1.78B
9.49%
other non cash items
-1.05B
-
-1.16B
10.78%
-1.22B
4.74%
-1.21B
0.33%
-975M
19.55%
-990M
1.54%
-242M
75.56%
139M
157.44%
-713M
612.95%
652M
191.44%
286M
56.13%
net cash provided by operating activities
1.24B
-
1.89B
52.47%
2.76B
46.13%
2.07B
25.04%
2.19B
5.81%
2.84B
30.05%
3.49B
22.72%
3.87B
10.95%
4.09B
5.73%
4.01B
2.08%
4.22B
5.29%
investments in property plant and equipment
-255M
-
-121M
52.55%
-307M
153.72%
-224M
27.04%
-250M
11.61%
-122M
51.20%
-105M
13.93%
-114M
8.57%
-133M
16.67%
-175M
31.58%
-215M
22.86%
acquisitions net
830M
-
1.14B
37.47%
4M
99.65%
163M
3,975%
-1.44B
980.98%
1.07B
174.30%
-1.97B
284.25%
-324M
83.52%
-769M
137.35%
-746M
2.99%
-671M
10.05%
purchases of investments
-38.02B
-
-25.40B
33.18%
-29.62B
16.62%
-22.85B
22.87%
-32.02B
40.15%
-28.36B
11.44%
-21.20B
25.25%
-22.44B
5.87%
-23.60B
5.15%
-16.00B
32.19%
-12.51B
21.84%
sales maturities of investments
41.18B
-
26.06B
36.71%
30.52B
17.08%
24.06B
21.17%
32.60B
35.53%
25.95B
20.40%
21.61B
16.73%
21.13B
2.22%
23.08B
9.24%
16.27B
29.54%
10.31B
36.60%
other investing activites
6M
-
13M
116.67%
-107M
923.08%
-199M
85.98%
-341M
71.36%
-503M
47.51%
-491M
2.39%
-317M
35.44%
-1.05B
230.91%
-619M
40.99%
650M
205.01%
net cash used for investing activites
3.75B
-
1.70B
54.71%
485M
71.40%
949M
95.67%
-1.44B
251.95%
-1.96B
36.06%
-2.15B
9.48%
-2.07B
3.82%
-2.47B
19.36%
-1.28B
48.22%
-2.43B
90.37%
debt repayment
-1.42B
-
-213M
84.95%
-806M
278.40%
-292M
63.77%
-429M
46.92%
-828M
93.01%
-1.58B
91.18%
-500M
68.41%
-588M
17.60%
-600M
2.04%
common stock issued
-1.47B
-
30M
102.04%
549M
1,730%
197M
64.12%
1.81B
818.78%
334M
81.55%
1.05B
213.47%
-608M
158.07%
-588M
3.29%
common stock repurchased
-600M
-
-1.80B
199.33%
-1.25B
30.40%
-1.33B
6.40%
-1.03B
22.71%
-147M
85.70%
-200M
36.05%
-150M
25%
-1.70B
1,034.67%
-1.55B
8.93%
-1.40B
9.68%
dividends paid
-223M
-
-282M
26.46%
-316M
12.06%
-334M
5.70%
-341M
2.10%
-379M
11.14%
-454M
19.79%
-478M
5.29%
-506M
5.86%
-527M
4.15%
-549M
4.17%
other financing activites
-2.11B
-
-2.21B
4.78%
-1.32B
40.36%
-782M
40.80%
-991M
26.73%
-447M
54.89%
-1M
99.78%
-42M
4,100%
1.80B
4,392.86%
-33M
101.83%
2M
106.06%
net cash used provided by financing activities
-5.82B
-
-4.48B
23.09%
-3.14B
29.76%
-2.54B
19.18%
-979M
61.47%
-1.47B
49.85%
-1.19B
18.81%
-1.78B
49.29%
-1.58B
11.08%
-2.71B
71.41%
-1.95B
28.15%
effect of forex changes on cash
-155M
-
-135M
12.90%
-48M
64.44%
-40M
16.67%
70M
275%
-10M
114.29%
-9M
10%
8M
188.89%
-6M
175%
-14M
133.33%
3M
121.43%
net change in cash
-993M
-
-1.03B
3.63%
49M
104.76%
434M
785.71%
-148M
134.10%
-59M
60.14%
141M
338.98%
-23M
116.31%
98M
526.09%
7M
92.86%
-155M
2,314.29%
cash at beginning of period
2.42B
-
1.43B
41.02%
399M
72.06%
448M
12.28%
328M
26.79%
180M
45.12%
121M
32.78%
262M
116.53%
239M
8.78%
337M
41.00%
344M
2.08%
cash at end of period
1.43B
-
399M
72.06%
448M
12.28%
882M
96.88%
180M
79.59%
121M
32.78%
262M
116.53%
239M
8.78%
337M
41.00%
344M
2.08%
189M
45.06%
operating cash flow
1.24B
-
1.89B
52.47%
2.76B
46.13%
2.07B
25.04%
2.19B
5.81%
2.84B
30.05%
3.49B
22.72%
3.87B
10.95%
4.09B
5.73%
4.01B
2.08%
4.22B
5.29%
capital expenditure
-255M
-
-121M
52.55%
-307M
153.72%
-224M
27.04%
-250M
11.61%
-122M
51.20%
-105M
13.93%
-114M
8.57%
-133M
16.67%
-175M
31.58%
-215M
22.86%
free cash flow
982M
-
1.76B
79.74%
2.45B
38.75%
1.84B
24.79%
1.94B
5.10%
2.72B
40.55%
3.38B
24.37%
3.76B
11.02%
3.96B
5.40%
3.83B
3.21%
4.00B
4.49%

All numbers in USD (except ratios and percentages)