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HIG Hartford Financial Services

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  • 109.630
  • +7.300+7.13%
Close Jul 26 16:00 ET
  • 109.630
  • 0.0000.00%
Post 20:01 ET
32.12BMarket Cap11.54P/E (TTM)

Hartford Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Total investments
8.02%56.89B
4.55%56.11B
6.40%55.92B
6.40%55.92B
5.25%53.32B
0.53%52.67B
-4.08%53.67B
-8.99%52.56B
-8.99%52.56B
-12.01%50.66B
-Fixed maturity investments
----
----
----
----
----
----
----
----
----
--335M
-Equity investments
2,032.18%25.91B
1,507.93%26.16B
-44.19%1.19B
-44.19%1.19B
-27.89%1.21B
-29.69%1.22B
-14.82%1.63B
-5.32%2.13B
-5.32%2.13B
3.84%1.68B
-Net loan
5.60%6.36B
2.48%6.2B
1.45%6.09B
1.45%6.09B
1.43%6.02B
2.87%6.02B
6.11%6.05B
11.46%6B
11.46%6B
16.16%5.93B
-Investments in other ventures under equity method
8.35%4.91B
12.77%4.87B
14.56%4.79B
14.56%4.79B
13.53%4.66B
17.40%4.53B
17.93%4.32B
24.58%4.18B
24.58%4.18B
38.74%4.11B
-Short term investments
-52.20%19.47B
-54.99%18.68B
8.92%43.67B
8.92%43.67B
7.34%41.26B
0.80%40.73B
-6.04%41.5B
-13.87%40.09B
-13.87%40.09B
-19.16%38.44B
-Other invested assets
44.51%250M
15.52%201M
20.13%191M
20.13%191M
0.00%168M
-14.78%173M
-22.67%174M
-26.05%159M
-26.05%159M
-50.15%168M
Cash and cash equivalents
2.67%154M
80.26%274M
-44.98%126M
-44.98%126M
-36.57%111M
-41.86%150M
-31.84%152M
11.71%229M
11.71%229M
-24.57%175M
Restricted cash and cash equivalents
-22.22%56M
-27.27%48M
-45.22%63M
-45.22%63M
-36.36%70M
-20.00%72M
-20.48%66M
-12.88%115M
-12.88%115M
-33.33%110M
Receivables
7.24%13.39B
7.22%13.08B
6.70%12.71B
6.70%12.71B
7.43%12.5B
6.55%12.49B
6.90%12.2B
8.62%11.91B
8.62%11.91B
7.28%11.63B
-Accounts receivable
7.24%13.39B
7.22%13.08B
6.70%12.71B
6.70%12.71B
7.43%12.5B
6.55%12.49B
6.90%12.2B
8.62%11.91B
8.62%11.91B
7.28%11.63B
Accrued investment income
--429M
--415M
8.60%404M
8.60%404M
----
----
----
--372M
--372M
----
Deferred policy acquisition costs
13.59%1.25B
10.81%1.17B
11.52%1.11B
11.52%1.11B
11.51%1.12B
12.41%1.1B
12.11%1.06B
13.28%998M
13.28%998M
14.16%1.01B
Net PPE
-0.68%878M
-2.77%879M
-3.34%896M
-3.34%896M
-4.99%894M
-8.87%884M
-9.15%904M
-9.74%927M
-9.74%927M
-10.12%941M
Goodwill and other intangible assets
-2.68%2.58B
-2.62%2.6B
-2.64%2.62B
-2.64%2.62B
-2.62%2.64B
-2.57%2.65B
-2.73%2.67B
-2.89%2.69B
-2.89%2.69B
-3.04%2.71B
-Goodwill
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
0.00%1.91B
-Other intangible assets
-9.56%672M
-9.21%690M
-9.13%707M
-9.13%707M
-8.92%725M
-8.61%743M
-8.98%760M
-9.32%778M
-9.32%778M
-9.65%796M
Other assets
-14.02%2.18B
-14.08%1.95B
-0.79%1.75B
-0.79%1.75B
-22.27%2.38B
22.07%2.54B
3.60%2.27B
-31.39%1.77B
-31.39%1.77B
28.70%3.06B
Total assets
6.97%79.05B
4.66%77.71B
5.17%76.78B
5.17%76.78B
3.78%74.52B
2.06%73.9B
-1.33%74.25B
-4.66%73.01B
-4.66%73.01B
-5.88%71.8B
Liabilities
Policy holders liabilities reserve
5.86%53.93B
3.76%52.9B
3.63%52.04B
3.63%52.04B
3.44%51.47B
3.73%50.94B
4.97%50.98B
4.33%50.22B
4.33%50.22B
3.81%49.76B
Short term debt and capital lease obligation
----
----
--0
--0
----
----
----
--0
--0
----
-Current debt
----
----
--0
--0
----
----
----
--0
--0
----
Long term debt and capital lease obligation
0.09%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.09%4.36B
-11.87%4.36B
-11.87%4.36B
-11.88%4.36B
-Long term debt
0.09%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.11%4.36B
0.09%4.36B
-11.87%4.36B
-11.87%4.36B
-11.88%4.36B
Other liabilities
14.26%5.07B
8.96%4.98B
6.20%5.05B
6.20%5.05B
5.77%5B
-5.77%4.44B
-21.82%4.57B
-15.88%4.76B
-15.88%4.76B
-14.82%4.73B
Total liabilities
6.06%63.37B
3.89%62.24B
3.57%61.45B
3.57%61.45B
3.38%60.84B
2.69%59.74B
0.93%59.91B
1.02%59.33B
1.02%59.33B
0.72%58.85B
Shareholders'equity
Share capital
0.00%337M
0.00%337M
0.00%337M
0.00%337M
-0.30%337M
-0.30%337M
-0.30%337M
-0.30%337M
-0.30%337M
0.00%338M
-common stock
0.00%3M
0.00%3M
0.00%3M
0.00%3M
-25.00%3M
-25.00%3M
-25.00%3M
-25.00%3M
-25.00%3M
0.00%4M
-Preferred stock
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
0.00%334M
Paid-in capital
-70.06%558M
-70.17%551M
-65.80%648M
-65.80%648M
-42.97%1.87B
-42.89%1.86B
-43.15%1.85B
-42.73%1.9B
-42.73%1.9B
-24.48%3.28B
Retained earnings
13.12%20.21B
12.38%19.61B
11.43%19.01B
11.43%19.01B
10.75%18.38B
9.01%17.87B
8.57%17.45B
8.21%17.06B
8.21%17.06B
9.42%16.6B
Gains losses not affecting retained earnings
12.94%-3.07B
7.90%-3B
25.83%-2.85B
25.83%-2.85B
5.35%-4.18B
-8.03%-3.52B
-91.52%-3.25B
-2,333.14%-3.84B
-2,333.14%-3.84B
-1,537.79%-4.41B
Less: Treasury stock
-1.42%2.36B
-0.34%2.04B
2.43%1.82B
2.43%1.82B
-3.97%2.73B
-4.48%2.39B
-1.16%2.04B
1.90%1.77B
1.90%1.77B
24.14%2.84B
Total stockholders'equity
10.80%15.68B
7.87%15.47B
12.07%15.33B
12.07%15.33B
5.59%13.68B
-0.52%14.15B
-9.79%14.34B
-23.35%13.68B
-23.35%13.68B
-27.47%12.96B
Total equity
10.80%15.68B
7.87%15.47B
12.07%15.33B
12.07%15.33B
5.59%13.68B
-0.52%14.15B
-9.79%14.34B
-23.35%13.68B
-23.35%13.68B
-27.47%12.96B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Total investments 8.02%56.89B4.55%56.11B6.40%55.92B6.40%55.92B5.25%53.32B0.53%52.67B-4.08%53.67B-8.99%52.56B-8.99%52.56B-12.01%50.66B
-Fixed maturity investments --------------------------------------335M
-Equity investments 2,032.18%25.91B1,507.93%26.16B-44.19%1.19B-44.19%1.19B-27.89%1.21B-29.69%1.22B-14.82%1.63B-5.32%2.13B-5.32%2.13B3.84%1.68B
-Net loan 5.60%6.36B2.48%6.2B1.45%6.09B1.45%6.09B1.43%6.02B2.87%6.02B6.11%6.05B11.46%6B11.46%6B16.16%5.93B
-Investments in other ventures under equity method 8.35%4.91B12.77%4.87B14.56%4.79B14.56%4.79B13.53%4.66B17.40%4.53B17.93%4.32B24.58%4.18B24.58%4.18B38.74%4.11B
-Short term investments -52.20%19.47B-54.99%18.68B8.92%43.67B8.92%43.67B7.34%41.26B0.80%40.73B-6.04%41.5B-13.87%40.09B-13.87%40.09B-19.16%38.44B
-Other invested assets 44.51%250M15.52%201M20.13%191M20.13%191M0.00%168M-14.78%173M-22.67%174M-26.05%159M-26.05%159M-50.15%168M
Cash and cash equivalents 2.67%154M80.26%274M-44.98%126M-44.98%126M-36.57%111M-41.86%150M-31.84%152M11.71%229M11.71%229M-24.57%175M
Restricted cash and cash equivalents -22.22%56M-27.27%48M-45.22%63M-45.22%63M-36.36%70M-20.00%72M-20.48%66M-12.88%115M-12.88%115M-33.33%110M
Receivables 7.24%13.39B7.22%13.08B6.70%12.71B6.70%12.71B7.43%12.5B6.55%12.49B6.90%12.2B8.62%11.91B8.62%11.91B7.28%11.63B
-Accounts receivable 7.24%13.39B7.22%13.08B6.70%12.71B6.70%12.71B7.43%12.5B6.55%12.49B6.90%12.2B8.62%11.91B8.62%11.91B7.28%11.63B
Accrued investment income --429M--415M8.60%404M8.60%404M--------------372M--372M----
Deferred policy acquisition costs 13.59%1.25B10.81%1.17B11.52%1.11B11.52%1.11B11.51%1.12B12.41%1.1B12.11%1.06B13.28%998M13.28%998M14.16%1.01B
Net PPE -0.68%878M-2.77%879M-3.34%896M-3.34%896M-4.99%894M-8.87%884M-9.15%904M-9.74%927M-9.74%927M-10.12%941M
Goodwill and other intangible assets -2.68%2.58B-2.62%2.6B-2.64%2.62B-2.64%2.62B-2.62%2.64B-2.57%2.65B-2.73%2.67B-2.89%2.69B-2.89%2.69B-3.04%2.71B
-Goodwill 0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B0.00%1.91B
-Other intangible assets -9.56%672M-9.21%690M-9.13%707M-9.13%707M-8.92%725M-8.61%743M-8.98%760M-9.32%778M-9.32%778M-9.65%796M
Other assets -14.02%2.18B-14.08%1.95B-0.79%1.75B-0.79%1.75B-22.27%2.38B22.07%2.54B3.60%2.27B-31.39%1.77B-31.39%1.77B28.70%3.06B
Total assets 6.97%79.05B4.66%77.71B5.17%76.78B5.17%76.78B3.78%74.52B2.06%73.9B-1.33%74.25B-4.66%73.01B-4.66%73.01B-5.88%71.8B
Liabilities
Policy holders liabilities reserve 5.86%53.93B3.76%52.9B3.63%52.04B3.63%52.04B3.44%51.47B3.73%50.94B4.97%50.98B4.33%50.22B4.33%50.22B3.81%49.76B
Short term debt and capital lease obligation ----------0--0--------------0--0----
-Current debt ----------0--0--------------0--0----
Long term debt and capital lease obligation 0.09%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.09%4.36B-11.87%4.36B-11.87%4.36B-11.88%4.36B
-Long term debt 0.09%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.11%4.36B0.09%4.36B-11.87%4.36B-11.87%4.36B-11.88%4.36B
Other liabilities 14.26%5.07B8.96%4.98B6.20%5.05B6.20%5.05B5.77%5B-5.77%4.44B-21.82%4.57B-15.88%4.76B-15.88%4.76B-14.82%4.73B
Total liabilities 6.06%63.37B3.89%62.24B3.57%61.45B3.57%61.45B3.38%60.84B2.69%59.74B0.93%59.91B1.02%59.33B1.02%59.33B0.72%58.85B
Shareholders'equity
Share capital 0.00%337M0.00%337M0.00%337M0.00%337M-0.30%337M-0.30%337M-0.30%337M-0.30%337M-0.30%337M0.00%338M
-common stock 0.00%3M0.00%3M0.00%3M0.00%3M-25.00%3M-25.00%3M-25.00%3M-25.00%3M-25.00%3M0.00%4M
-Preferred stock 0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M0.00%334M
Paid-in capital -70.06%558M-70.17%551M-65.80%648M-65.80%648M-42.97%1.87B-42.89%1.86B-43.15%1.85B-42.73%1.9B-42.73%1.9B-24.48%3.28B
Retained earnings 13.12%20.21B12.38%19.61B11.43%19.01B11.43%19.01B10.75%18.38B9.01%17.87B8.57%17.45B8.21%17.06B8.21%17.06B9.42%16.6B
Gains losses not affecting retained earnings 12.94%-3.07B7.90%-3B25.83%-2.85B25.83%-2.85B5.35%-4.18B-8.03%-3.52B-91.52%-3.25B-2,333.14%-3.84B-2,333.14%-3.84B-1,537.79%-4.41B
Less: Treasury stock -1.42%2.36B-0.34%2.04B2.43%1.82B2.43%1.82B-3.97%2.73B-4.48%2.39B-1.16%2.04B1.90%1.77B1.90%1.77B24.14%2.84B
Total stockholders'equity 10.80%15.68B7.87%15.47B12.07%15.33B12.07%15.33B5.59%13.68B-0.52%14.15B-9.79%14.34B-23.35%13.68B-23.35%13.68B-27.47%12.96B
Total equity 10.80%15.68B7.87%15.47B12.07%15.33B12.07%15.33B5.59%13.68B-0.52%14.15B-9.79%14.34B-23.35%13.68B-23.35%13.68B-27.47%12.96B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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