US Stock MarketDetailed Quotes

HIG Hartford Financial Services

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  • 112.080
  • +1.160+1.05%
Close Dec 13 16:00 ET
  • 112.200
  • +0.120+0.11%
Post 20:01 ET
32.49BMarket Cap11.25P/E (TTM)

Hartford Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-5.25%1.68B
2,671.43%1.26B
25.95%1.1B
5.29%4.22B
50.09%1.63B
16.44%1.77B
-105.03%-49M
103.03%871M
-2.08%4.01B
-9.97%1.08B
Net income from continuing operations
17.82%767M
34.92%738M
40.75%753M
37.66%2.5B
30.24%771M
91.47%651M
23.20%547M
20.77%535M
-23.28%1.82B
-19.46%592M
Operating gains losses
-48.68%39M
251.43%123M
-500.00%-28M
-70.02%188M
-84.91%70M
-19.15%76M
-50.70%35M
450.00%7M
223.18%627M
318.87%464M
Other non cash items
-8.56%-571M
-7.72%-558M
-13.15%-482M
-6.86%-1.95B
-8.68%-476M
-18.74%-526M
-8.82%-518M
8.19%-426M
2.31%-1.82B
-23.03%-438M
Change in working capital
-12.29%799M
151.75%400M
34.81%182M
-1.50%920M
85.92%647M
8.71%911M
-1,615.69%-773M
144.55%135M
-46.54%934M
-23.68%348M
-Change in receivables
854.55%166M
-8.31%-339M
-26.23%-385M
16.38%-863M
29.43%-223M
-132.84%-22M
2.49%-313M
33.98%-305M
-33.51%-1.03B
38.76%-316M
-Change in loss and loss adjustment expense reserves
13.53%621M
3,556.67%1.04B
14.32%870M
-17.02%1.82B
0.74%541M
-15.72%547M
-105.40%-30M
69.11%761M
-9.08%2.19B
74.92%537M
-Change in other working capital
-58.39%191M
30.70%-298M
5.61%-303M
84.07%-36M
549.12%256M
50.00%459M
-133.70%-430M
-10.31%-321M
-307.34%-226M
-110.34%-57M
Cash from discontinued operating activities
Operating cash flow
-5.25%1.68B
2,671.43%1.26B
25.95%1.1B
5.29%4.22B
50.09%1.63B
16.44%1.77B
-105.03%-49M
103.03%871M
-2.08%4.01B
-9.97%1.08B
Investing cash flow
Cash flow from continuing investing activities
17.44%-1.09B
-277.96%-888M
2.47%-435M
-90.37%-2.43B
-103.67%-1.17B
-20.79%-1.32B
91.19%499M
-453.97%-446M
48.22%-1.28B
20.33%-572M
Net investment purchase and sale
28.45%-820M
-177.97%-584M
4.24%-158M
-672.24%-1.51B
-148.81%-943M
-67.79%-1.15B
23.19%749M
-123.01%-165M
138.96%263M
---379M
Net proceeds payment for loan
---56M
-773.91%-155M
-114.58%-103M
96.95%-19M
108.82%6M
--0
114.56%23M
84.91%-48M
29.20%-623M
75.71%-68M
Net PPE purchase and sale
-15.38%-60M
-22.00%-61M
-2.04%-50M
-22.86%-215M
-20.75%-64M
-15.56%-52M
-8.70%-50M
-58.06%-49M
-31.58%-175M
-29.27%-53M
Net business purchase and sale
-5.88%-126M
59.73%-89M
29.94%-124M
10.05%-671M
-152.46%-154M
58.10%-119M
-40.76%-221M
27.46%-177M
2.99%-746M
84.36%-61M
Net other investing changes
-1,250.00%-27M
----
----
-625.00%-21M
9.09%-10M
-100.00%-2M
-114.29%-2M
-450.00%-7M
144.44%4M
-57.14%-11M
Cash from discontinued investing activities
Investing cash flow
17.44%-1.09B
-277.96%-888M
2.47%-435M
-90.37%-2.43B
-103.67%-1.17B
-20.79%-1.32B
91.19%499M
-453.97%-446M
48.22%-1.28B
20.33%-572M
Financing cash flow
Cash flow from continuing financing activities
-6.34%-520M
-4.58%-480M
2.94%-529M
28.15%-1.95B
0.66%-454M
-1.88%-489M
61.33%-459M
7.00%-545M
-71.41%-2.71B
26.05%-457M
Net issuance payments of debt
----
----
----
--0
----
----
----
----
-202.04%-600M
--0
Net common stock issuance
-14.29%-400M
0.00%-350M
0.00%-350M
9.68%-1.4B
0.00%-350M
0.00%-350M
22.22%-350M
12.50%-350M
8.93%-1.55B
30.00%-350M
Cash dividends paid
-5.11%-144M
-4.32%-145M
-5.04%-146M
-4.17%-549M
-4.69%-134M
-3.79%-137M
-5.30%-139M
-2.96%-139M
-4.15%-527M
-2.40%-128M
Proceeds from stock option exercised by employees
--25M
157.14%18M
15.63%-27M
131.58%6M
106.67%31M
--0
-22.22%7M
25.58%-32M
-176.00%-19M
650.00%15M
Net other financing charges
50.00%-1M
-113.04%-3M
75.00%-6M
71.43%-4M
-116.67%-1M
-200.00%-2M
264.29%23M
-200.00%-24M
-200.00%-14M
20.00%6M
Cash from discontinued financing activities
Financing cash flow
-6.34%-520M
-4.58%-480M
2.94%-529M
28.15%-1.95B
0.66%-454M
-1.88%-489M
61.33%-459M
7.00%-545M
-71.41%-2.71B
26.05%-457M
Net cash flow
Beginning cash position
-5.41%210M
47.71%322M
-45.06%189M
2.08%344M
-36.49%181M
-36.21%222M
-28.76%218M
2.08%344M
41.00%337M
-28.21%285M
Current changes in cash
286.49%69M
-1,100.00%-108M
210.83%133M
-852.38%-158M
-85.45%8M
27.45%-37M
-118.75%-9M
-287.10%-120M
-54.35%21M
141.67%55M
Effect of exchange rate changes
150.00%2M
-130.77%-4M
--0
121.43%3M
--0
66.67%-4M
316.67%13M
---6M
-133.33%-14M
500.00%4M
End cash position
55.25%281M
-5.41%210M
47.71%322M
-45.06%189M
-45.06%189M
-36.49%181M
-36.21%222M
-28.76%218M
2.08%344M
2.08%344M
Free cash flow
-5.88%1.62B
1,311.11%1.2B
27.37%1.05B
4.49%4.01B
51.60%1.56B
16.46%1.72B
-110.67%-99M
106.53%822M
-3.21%3.83B
-11.35%1.03B
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
--
(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -5.25%1.68B2,671.43%1.26B25.95%1.1B5.29%4.22B50.09%1.63B16.44%1.77B-105.03%-49M103.03%871M-2.08%4.01B-9.97%1.08B
Net income from continuing operations 17.82%767M34.92%738M40.75%753M37.66%2.5B30.24%771M91.47%651M23.20%547M20.77%535M-23.28%1.82B-19.46%592M
Operating gains losses -48.68%39M251.43%123M-500.00%-28M-70.02%188M-84.91%70M-19.15%76M-50.70%35M450.00%7M223.18%627M318.87%464M
Other non cash items -8.56%-571M-7.72%-558M-13.15%-482M-6.86%-1.95B-8.68%-476M-18.74%-526M-8.82%-518M8.19%-426M2.31%-1.82B-23.03%-438M
Change in working capital -12.29%799M151.75%400M34.81%182M-1.50%920M85.92%647M8.71%911M-1,615.69%-773M144.55%135M-46.54%934M-23.68%348M
-Change in receivables 854.55%166M-8.31%-339M-26.23%-385M16.38%-863M29.43%-223M-132.84%-22M2.49%-313M33.98%-305M-33.51%-1.03B38.76%-316M
-Change in loss and loss adjustment expense reserves 13.53%621M3,556.67%1.04B14.32%870M-17.02%1.82B0.74%541M-15.72%547M-105.40%-30M69.11%761M-9.08%2.19B74.92%537M
-Change in other working capital -58.39%191M30.70%-298M5.61%-303M84.07%-36M549.12%256M50.00%459M-133.70%-430M-10.31%-321M-307.34%-226M-110.34%-57M
Cash from discontinued operating activities
Operating cash flow -5.25%1.68B2,671.43%1.26B25.95%1.1B5.29%4.22B50.09%1.63B16.44%1.77B-105.03%-49M103.03%871M-2.08%4.01B-9.97%1.08B
Investing cash flow
Cash flow from continuing investing activities 17.44%-1.09B-277.96%-888M2.47%-435M-90.37%-2.43B-103.67%-1.17B-20.79%-1.32B91.19%499M-453.97%-446M48.22%-1.28B20.33%-572M
Net investment purchase and sale 28.45%-820M-177.97%-584M4.24%-158M-672.24%-1.51B-148.81%-943M-67.79%-1.15B23.19%749M-123.01%-165M138.96%263M---379M
Net proceeds payment for loan ---56M-773.91%-155M-114.58%-103M96.95%-19M108.82%6M--0114.56%23M84.91%-48M29.20%-623M75.71%-68M
Net PPE purchase and sale -15.38%-60M-22.00%-61M-2.04%-50M-22.86%-215M-20.75%-64M-15.56%-52M-8.70%-50M-58.06%-49M-31.58%-175M-29.27%-53M
Net business purchase and sale -5.88%-126M59.73%-89M29.94%-124M10.05%-671M-152.46%-154M58.10%-119M-40.76%-221M27.46%-177M2.99%-746M84.36%-61M
Net other investing changes -1,250.00%-27M---------625.00%-21M9.09%-10M-100.00%-2M-114.29%-2M-450.00%-7M144.44%4M-57.14%-11M
Cash from discontinued investing activities
Investing cash flow 17.44%-1.09B-277.96%-888M2.47%-435M-90.37%-2.43B-103.67%-1.17B-20.79%-1.32B91.19%499M-453.97%-446M48.22%-1.28B20.33%-572M
Financing cash flow
Cash flow from continuing financing activities -6.34%-520M-4.58%-480M2.94%-529M28.15%-1.95B0.66%-454M-1.88%-489M61.33%-459M7.00%-545M-71.41%-2.71B26.05%-457M
Net issuance payments of debt --------------0-----------------202.04%-600M--0
Net common stock issuance -14.29%-400M0.00%-350M0.00%-350M9.68%-1.4B0.00%-350M0.00%-350M22.22%-350M12.50%-350M8.93%-1.55B30.00%-350M
Cash dividends paid -5.11%-144M-4.32%-145M-5.04%-146M-4.17%-549M-4.69%-134M-3.79%-137M-5.30%-139M-2.96%-139M-4.15%-527M-2.40%-128M
Proceeds from stock option exercised by employees --25M157.14%18M15.63%-27M131.58%6M106.67%31M--0-22.22%7M25.58%-32M-176.00%-19M650.00%15M
Net other financing charges 50.00%-1M-113.04%-3M75.00%-6M71.43%-4M-116.67%-1M-200.00%-2M264.29%23M-200.00%-24M-200.00%-14M20.00%6M
Cash from discontinued financing activities
Financing cash flow -6.34%-520M-4.58%-480M2.94%-529M28.15%-1.95B0.66%-454M-1.88%-489M61.33%-459M7.00%-545M-71.41%-2.71B26.05%-457M
Net cash flow
Beginning cash position -5.41%210M47.71%322M-45.06%189M2.08%344M-36.49%181M-36.21%222M-28.76%218M2.08%344M41.00%337M-28.21%285M
Current changes in cash 286.49%69M-1,100.00%-108M210.83%133M-852.38%-158M-85.45%8M27.45%-37M-118.75%-9M-287.10%-120M-54.35%21M141.67%55M
Effect of exchange rate changes 150.00%2M-130.77%-4M--0121.43%3M--066.67%-4M316.67%13M---6M-133.33%-14M500.00%4M
End cash position 55.25%281M-5.41%210M47.71%322M-45.06%189M-45.06%189M-36.49%181M-36.21%222M-28.76%218M2.08%344M2.08%344M
Free cash flow -5.88%1.62B1,311.11%1.2B27.37%1.05B4.49%4.01B51.60%1.56B16.46%1.72B-110.67%-99M106.53%822M-3.21%3.83B-11.35%1.03B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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