bf/NYSE:HIG_icon.jpeg

NYSE:HIG

The Hartford Financial Services Group, Inc.

  • Stock

USD

Last Close

101.33

15/05 20:00

Market Cap

26.11B

Beta: 0.85

Volume Today

1.37M

Avg: 2.28M

PE Ratio

11.85

PFCF: 7.82

Dividend Yield

1.93%

Payout:23.39%

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)