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as of market close, Sep 11, 2026
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HIG financial statements

The full income statement, balance sheet, and cash-flow statement for The Hartford Insurance Group Inc. (HIG), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

Shares outstanding (point-in-time)

2024-06 293.0M2024-09 289.9M2024-12 285.4M2025-03 284.1M2025-06 281.2M2025-09 278.7M2025-12 275.9M2026-03 274.1M2026-06 270.9M-7.6% over 8 periods

SEC-filed end-of-period counts (cover pages and balance sheets, split-adjusted) — the series realized buyback yield is computed from. The weighted-average share lines in the statements below lag these by design: an average over the year sits near the midpoint of an ongoing buyback.

As-reported fiscal years.
Line itemTrendFY2025FY2024FY2023FY2022FY2021
Income Statementas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Revenue28.4B+6.9%26.5B+8.2%24.5B+9.7%22.4B-0.1%22.4B+9.1%
Selling, general & administrative5.58B+6.2%5.26B+7.7%4.88B+0.8%4.84B+1.0%4.79B+6.9%
Restructuring0.00-100.0%2.00M-66.7%6.00M-53.8%13.0M+1200.0%1.00M-99.0%
Amortization of intangibles71.0M+0.0%71.0M+0.0%71.0M+0.0%71.0M+0.0%71.0M-1.4%
Interest expense199M+0.0%199M+0.0%199M-6.6%213M-9.0%234M-0.8%
Equity-method income291M+182.5%103M-43.1%181M-66.0%533M-15.4%630M+158.2%
Gain (loss) on equity securities
155M+192.5%
Pre-tax income4.76B+23.7%3.85B+24.6%3.09B+36.5%2.26B-22.1%2.90B+37.0%
Income tax924M+25.2%738M+26.4%584M+31.8%443M-17.0%534M+39.4%
3.84B+23.3%3.11B+24.2%2.50B+37.7%1.82B-23.3%2.37B+36.5%
Income from continuing operations
2.37B+36.2%
Net income to common3.81B+23.5%3.09B+24.4%2.48B+38.1%1.80B-23.5%2.35B+36.9%
$13.32+28.7%$10.35+29.9%$7.97+46.0%$5.46-17.8%$6.64+39.5%
EPS (basic)$13.51+28.5%$10.51+29.9%$8.09+46.0%$5.54-17.7%$6.73+40.5%
Weighted-avg shares (basic)282M-3.9%294M-4.3%307M-5.4%325M-7.0%349M-2.6%
Weighted-avg shares (diluted)287M-4.1%299M-4.1%312M-5.5%330M-6.9%354M-1.8%
Dividends per share$2.16+11.9%$1.93+10.6%$1.75+10.4%$1.58+9.7%$1.44+10.8%
Balance Sheetas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Cash & equivalents166M-29.1%234M+23.8%189M-45.1%344M+2.1%337M+41.0%
86.0B+6.3%80.9B+5.4%76.8B+5.2%73.0B-4.7%76.6B+3.3%
Property, plant & equipment924M+4.1%888M-0.9%896M-3.3%927M-9.7%1.03B-8.5%
Operating lease right-of-use159M+13.6%140M-0.7%141M+4.4%135M-19.2%167M
Goodwill1.64B-14.2%1.91B+0.0%1.91B+0.0%1.91B+0.0%1.91B+0.0%
Intangible assets566M-11.1%637M-9.9%707M-9.1%778M-9.3%858M-9.7%
Deferred tax assets937M-23.8%1.23B+4.8%1.17B-18.4%1.44B+411.4%281M+339.1%
Short-term & current debt
0.00
67.0B+4.0%64.5B+4.9%61.5B+3.6%59.3B+1.0%58.7B+5.7%
Long-term debt4.37B+0.1%4.37B+0.1%4.36B+0.1%4.36B-11.9%4.94B+13.6%
Operating lease liability (total)169M+16.6%145M+0.7%144M+5.9%136M-26.1%184M
19.0B+15.4%16.4B+7.3%15.3B+12.1%13.7B-23.2%17.8B-3.7%
Common stock3.00M+0.0%3.00M+0.0%3.00M+0.0%3.00M-25.0%4.00M+0.0%
Additional paid-in capital549M-5.0%578M-10.8%648M-65.8%1.90B-42.7%3.31B-23.4%
Retained earnings24.7B+14.9%21.5B+13.3%19.0B+11.4%17.1B+8.2%15.8B+13.3%
Treasury stock4.59B+47.4%3.11B+71.4%1.82B+2.4%1.77B+1.9%1.74B+46.0%
Accumulated other comprehensive income-2.06B+28.7%-2.89B-1.3%-2.85B+25.8%-3.84B-3100.8%128M-88.4%
Total liabilities & equity86.0B+6.3%80.9B+5.4%76.8B+5.2%73.0B-4.7%76.6B+3.3%
Common shares issued327M+0.0%327M+0.0%327M-5.2%345M-6.0%367M-4.7%
Shares outstanding (cover)276M-3.3%285M-4.0%297M-5.0%313M-5.6%332M-7.2%
Cash Flowas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
5.92B+0.2%5.91B+40.0%4.22B+5.3%4.01B-2.1%4.09B+5.7%
Depreciation & amortization396M+11.2%356M-30.2%510M-18.4%625M-8.1%680M+21.0%
Intangible amortization71.0M+0.0%71.0M+0.0%71.0M+0.0%71.0M+0.0%71.0M-1.4%
Deferred income taxes109M+331.9%-47.0M-2450.0%2.00M+101.9%-106M-330.4%46.0M+270.4%
Other operating activities148M-55.0%329M+54.5%213M+95.4%109M+187.2%-125M-176.2%
-3.76B+0.3%-3.77B-55.0%-2.43B-90.4%-1.28B+48.2%-2.47B-19.4%
Capital expenditure169M+16.6%145M-32.6%215M+22.9%175M+31.6%133M+16.7%
Free cash flow5.75B-0.2%5.76B+43.9%4.00B+4.5%3.83B-3.2%3.96B+5.4%
Acquisitions0.000.000.000.000.00
Other investing activities89.0M+1171.4%7.00M-66.7%21.0M+625.0%-4.00M-144.4%9.00M-25.0%
-2.23B-7.7%-2.08B-6.6%-1.95B+28.2%-2.71B-71.4%-1.58B+11.1%
Long-term debt issued0.000.000.000.000.00-100.0%
Long-term debt repaid0.000.000.000.000.00
Common stock issued0.000.000.000.000.00
Common stock repurchased1.61B+6.7%1.51B+8.1%1.40B-9.7%1.55B-8.9%1.70B+1034.7%
Dividends paid592M+6.5%556M+5.3%528M+4.3%506M+4.3%485M+6.1%
FX effect on cash
-6.00M-175.0%
Net change in cash-57.0M-226.7%45.0M+129.0%-155M-2314.3%7.00M-92.9%98.0M+526.1%
Interest paid206M-2.4%211M+1.0%209M-1.4%212M-0.9%214M-7.8%
Income taxes paid863M+6.3%812M+30.5%622M+13.5%548M+10.5%496M+798.6%
Valuation Ratiosas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Market cap38.0B+21.8%31.2B+29.1%24.2B+0.2%24.1B+5.3%22.9B+30.8%
P/E9.9×-1.3%10.0×-3.5%10.4×-15.4%12.3×+27.3%9.7×-4.2%
P/S1.3×+13.9%1.2×+17.5%1.0×-8.0%1.1×+6.4%1.0×+19.9%
P/B2.0×+5.5%1.9×+7.4%1.8×-4.8%1.9×+44.3%1.3×+35.8%
P/FCF6.6×+22.0%5.4×-22.2%7.0×+14.4%6.1×+5.2%5.8×+24.1%
Earnings yield10.1%+1.3%10.0%+3.6%9.6%+18.2%8.1%-21.5%10.4%+4.4%
FCF yield15.1%-18.0%18.5%+28.5%14.4%-12.6%16.4%-5.0%17.3%-19.4%
Dividend yield1.6%-11.1%1.8%-18.7%2.2%+4.2%2.1%-0.1%2.1%-21.4%
Source filing10-K10-K10-K10-K10-K

About this data

Source: HIG’s SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn’t file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all HIG filings on SEC EDGAR → Not investment advice.