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HARTFORD FINANCIAL SERVICES GROUP INC/DE logo
no logo available
General Information
Investor relations pageIR page no data available
Founding year no data available
Headquarter , , no data available
Employees 16,900 (as per Q1 2017)no data available
Sector Insurance, Financial ServicesInsurance, Financial Servicesno data available
Ticker HIGno data available
Financial year endsFY ends End of Decemberno data available
Stock Information (historical prices adjusted for splits and dividends)
Adj. Closing prices (in USD) -Common sharesNov. 16Jan. 17März 17Mai 17Juli 17Sep. 174045505560
datesClosing price (adj.)
13.10.201755.99
11.10.201755.87
04.10.201755.68
27.09.201755.04
20.09.201755.13
13.09.201753.51
06.09.201752.77
30.08.201754.35
23.08.201754.92
16.08.201756.27
09.08.201756.00
02.08.201755.40
26.07.201753.00
19.07.201753.66
12.07.201752.65
05.07.201752.49
27.06.201751.98
20.06.201752.01
13.06.201751.45
06.06.201749.37
30.05.201748.84
23.05.201748.71
16.05.201748.84
09.05.201748.82
02.05.201748.34
25.04.201747.32
18.04.201747.27
11.04.201747.78
04.04.201747.49
28.03.201747.27
21.03.201747.29
14.03.201749.31
07.03.201748.23
28.02.201748.23
21.02.201748.27
14.02.201747.85
07.02.201746.71
31.01.201748.05
24.01.201747.25
17.01.201747.89
10.01.201747.78
03.01.201747.11
27.12.201647.60
19.12.201647.18
12.12.201647.92
05.12.201646.98
28.11.201646.54
21.11.201646.44
14.11.201647.05
07.11.201643.65
31.10.201643.30
24.10.201642.13
17.10.201642.35
no share price data source found
Share price data requested
Key Figures
Last Closing Price
as per Oct 13, 2017, in USD
55.99n/a
Market Capitalisation
in million USD
20,569n/a
Enterprise Value
in million USD
25,084n/a
Common Shares Outstanding
as per Apr 25, 2017
367,360,904n/a
Preferred Shares Outstanding
as per Apr 25, 2017
575,000n/a
Average Basic Shares Outstanding
TTM
380,925,000n/a
Average Diluted Shares Outstanding
TTM
387,875,000n/a
Index Membership
n/a
Business Summary
Hartford Financial Services Group Inc is an insurance and financial services company. It operates through Commercial Lines, Personal Lines, Group Benefits, Mutual Funds, and Talcott Resolution segments.
no data available
Key Financials & Ratios (all figures TTM as per Sep 30, 2016, million USD, full statements further below)
Profit & Loss
Revenues 18,276n/a
Gross Profit 0n/a
Operating Income 1,926n/a
EBITDA 2,350n/a
Net Profit 1,398n/a
Balance Sheet
Cash and Cash Equivalents 810n/a
Receivables 0n/a
Total Current Assets 0n/a
PP&E 1,001n/a
Total Assets 228,430n/a
Accounts Payable 0n/a
Current Debt 690n/a
Total Current Liabilities 0n/a
Long-Term Debt 4,635n/a
Total Liabilities 209,772n/a
Total Equity 18,658n/a
Cash Flow
Depreciation & Amortisation 424n/a
Change in Working Capital -1,587n/a
Operating Cash Flow 2,161n/a
Net Change in PP&E and Intangibles 0n/a
Investing Cash Flow 827n/a
Dividends Paid -340n/a
Financing Cash Flow -2,805n/a
Total Change in Cash 145n/a
Free Cash Flow 578n/a
Profitability Ratios
Gross Margin 0.0%n/a
Operating Margin 10.5%n/a
Net Profit Margin 7.6%n/a
Return on Equity 7.5%n/a
Return on Assets 0.6%n/a
Per Share Figures
Basic EPS n/a
Diluted EPS n/a
Sales per Share n/a
Book Value per Share n/a
FCF per Share n/a
Dividends per Share n/a
Price Multiples
Price to Earnings Ratio n/a
Price to Sales Ratio n/a
Price to Book Value n/a
Price to Free Cash Flow n/a
Valuation Metrics
EV/EBITDA 10.67n/a
EV/Sales 1.37n/a
Book to Market Value 0.91n/a
Other Ratios
Current Ratio 0.0%n/a
Liabilities to Equity Ratio 1,124.3%n/a
Debt to Assets Ratio 2.3%n/a
Profit & Loss StatementP&L data quality: 14% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Net Revenue
26,061
-1,121
27,621
21,275
20,388
22,086
19,098
18,614
18,377
Net Premiums Earned
15,619
15,503
14,424
14,055
14,088
13,637
13,231
13,336
13,577
Investment Income (Loss)
5,504
-16,345
10,393
2,816
1,573
4,127
3,264
3,154
3,030
Income from Real Estate
0
0
0
0
0
0
0
0
0
Other Operating Income
4,938
-279
2,804
4,404
4,727
4,322
2,603
2,124
1,770
Policy Charges & Fees
5,436
5,135
4,547
4,748
4,700
3,567
2,105
1,996
1,839
Total Realized Investment Gains
-994
-5,918
-2,004
-611
-226
497
223
16
-156
Total OTTI Realized
-483
-3,964
-1,508
-434
-174
-349
-73
-59
-102
Other Realized Investment Gains
-511
-1,954
-496
-177
-52
846
296
75
-54
Other Income
496
504
261
267
253
258
275
112
87
Claims & Losses
-14,064
-3,748
-17,019
-12,251
-13,282
-13,195
-11,048
-10,805
-10,775
Claims & Losses
0
0
0
0
0
0
0
0
0
Long Term Charges
0
0
0
0
0
0
0
0
0
Other Claims & Losses
0
0
0
0
0
0
0
0
0
Underwriting Expense & Acquisition Cost
0
0
0
0
0
0
0
0
0
Other Operating Expense
-12,798
-13,309
-12,644
-11,382
-11,976
-7,078
-6,877
-5,757
-5,274
Operating Income (Loss)
-801
-18,178
-2,042
-2,358
-4,870
1,813
1,173
2,052
2,328
Non-Operating Income (Loss)
-263
-343
-476
-508
-508
-457
-397
-376
-357
Income (Loss) from Affiliates
0
0
0
0
0
0
0
0
0
Interest Expense
-263
-343
-476
-508
-508
-457
-397
-376
-357
Other Non-Operating Income (Loss)
0
0
0
0
0
0
0
0
0
Pretax Income (Loss), Adjusted
-1,064
-18,521
-2,518
-2,866
-5,378
1,356
776
1,676
1,971
Abnormal Gains (Losses)
0
-745
-32
0
-30
-910
-1,787
23
7
Merger / Acquisition Expense
0
0
0
0
0
0
0
0
0
Abnormal Derivatives
0
0
0
0
0
0
0
0
0
Disposal of Assets
0
0
0
0
0
0
0
0
0
Early extinguishment of Debt
0
0
0
0
0
0
0
0
0
Asset Write-Down
0
0
0
0
0
0
0
0
0
Impairment of Goodwill & Intangibles
0
0
0
0
0
0
0
0
0
Sale of Business
0
0
0
0
0
0
0
0
0
Legal Settlement
0
0
0
0
0
0
0
0
0
Restructuring Charges
0
0
0
0
0
0
0
0
0
Net Investment Losses
0
0
0
0
0
0
0
0
0
Foreign Exchange
0
0
0
0
0
0
0
0
0
Other Abnormal Items
0
0
0
0
0
0
0
0
0
Pretax Income (Loss)
-1,064
-19,266
-2,550
-2,866
-5,408
446
-1,011
1,699
1,978
Income Tax (Expense) Benefit, net
-1,056
1,842
838
-572
373
309
-246
-350
-305
Current Income Tax
0
0
0
0
0
0
0
0
0
Deferred Income Tax
0
0
0
0
0
0
0
0
0
Tax Allowance/Credit
0
0
0
0
0
0
0
0
0
Income (Loss) from Affiliates, net of taxes
0
0
0
0
0
0
0
0
0
Income (Loss) from Continuing Operations
-2,120
-17,424
-1,712
-3,438
-5,035
755
-1,257
1,349
1,673
Net Extraordinary Gains (Losses)
0
0
-4
-64
139
-258
-1,049
-551
9
Discontinued Operations
0
0
-4
-64
139
-258
-1,049
-551
9
XO & Accounting Charges & Other
0
0
0
0
0
0
0
0
0
Income (Loss) Including Minority Interest
-2,120
-17,424
-1,716
-3,502
-4,896
497
-2,306
798
1,682
Minority Interest
0
0
0
0
0
0
0
0
0
Net Income
-2,120
-17,424
-1,716
-3,502
-4,896
497
-2,306
798
1,682
Preferred Dividends
0
-8
-127
-515
-42
-42
0
0
0
Other Adjustments
0
0
0
0
0
0
0
0
0
Net Income Available to Common Shareholders
-2,120
-17,432
-1,843
-4,017
-4,938
455
-2,306
798
1,682
Remarks
restated on Feb 23, 2010 n/a
calculated values,
restated on Mar 11, 2011 n/a
calculated values,
restated on Feb 24, 2012 n/a
calculated values,
restated on Mar 1, 2013 n/a
calculated values,
restated on Feb 28, 2014 n/a
calculated values,
restated on Feb 27, 2015 n/a
calculated values,
restated on Feb 26, 2016 n/a
calculated values,
restated on Feb 26, 2016 n/a
calculated values,
restated on Nov 30, -1 n/a
calculated values,
Balance SheetBS data quality: 100% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Assets
Total Investments
n/a
120,106
125,556
130,995
134,948
134,250
98,401
76,278
72,728
Fixed Income-Trading/AFS & Short Term Inv.
n/a
75,134
81,510
86,997
90,873
91,590
67,209
64,755
61,542
Loans & Mortgages
n/a
8,676
8,112
6,670
7,729
8,708
7,018
6,976
7,060
Fixed Income Securities-HTM
n/a
0
0
0
0
0
0
0
0
Equity Securities
n/a
32,278
33,542
33,793
31,420
29,823
20,613
1,058
1,132
Real Estate Investments
n/a
0
0
0
0
0
0
0
0
Other Investments
n/a
4,018
2,392
3,535
4,926
4,129
3,561
3,489
2,994
Cash & Cash Equivalents
n/a
1,811
2,142
2,062
2,581
2,421
1,428
399
448
Accounts & Notes Receivable
n/a
3,604
3,404
3,273
3,446
3,542
3,465
3,429
3,537
Net Fixed Assets
n/a
1,075
1,026
1,150
1,029
977
877
831
974
Deferred Policy Acquisition Costs
n/a
13,248
10,686
9,857
6,556
5,725
2,161
1,823
1,816
Other Assets
n/a
147,738
164,903
171,009
154,049
151,598
171,552
162,253
148,845
Total Assets
n/a
287,582
307,717
318,346
302,609
298,513
277,884
245,013
228,348
Liabilities and owners' equity
Insurance Reserves
n/a
128,611 128611000000
123,000 123000000000
122,117 122117000000
122,311 122311000000
117,038 117038000000
105,361 105361000000
79,231 79231000000
78,627 78627000000
Reserve for Outstanding Claims & Losses
n/a
21,933 21933000000
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Premium Reserve (Unearned)
n/a
5,379 5379000000
5,221 5221000000
5,176 5176000000
5,222 5222000000
5,145 5145000000
5,225 5225000000
5,255 5255000000
5,385 5385000000
Life Policy Benefits
n/a
47,546 47546000000
71,927 71927000000
72,391 72391000000
71,477 71477000000
69,914 69914000000
41,373 41373000000
41,444 41444000000
41,572 41572000000
Other Insurance Reserves
n/a
53,753 53753000000
45,852 45852000000
44,550 44550000000
45,612 45612000000
41,979 41979000000
58,763 58763000000
32,532 32532000000
31,670 31670000000
Short Term Debt
n/a
1,608 1608000000
1,479 1479000000
782 782000000
314 314000000
481 481000000
438 438000000
456 456000000
275 275000000
Other Short Term Liabilities
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Long Term Debt
n/a
5,823 5823000000
5,496 5496000000
6,207 6207000000
6,216 6216000000
6,806 6806000000
6,106 6106000000
5,653 5653000000
5,084 5084000000
Pension Liabilities
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Pensions
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Other Post-Retirement Benefits
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Other Long Term Liabilities
n/a
142,181 142181000000
159,848 159848000000
168,929 168929000000
152,282 152282000000
151,741 151741000000
147,074 147074000000
140,953 140953000000
126,720 126720000000
Funds for Future Appropriations
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Total Liabilities
n/a
278,223 278223000000
289,823 289823000000
298,035 298035000000
281,123 281123000000
276,066 276066000000
258,979 258979000000
226,293 226293000000
210,706 210706000000
Preferred Equity
n/a
0 0
2,960 2960000000
556 556000000
556 556000000
556 556000000
0 0
0 0
0 0
Policyholders' Equity
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Share Capital & Additional Paid-In Capital
n/a
7,572 7572000000
8,989 8989000000
10,453 10453000000
10,396 10396000000
10,043 10043000000
9,899 9899000000
9,128 9128000000
8,978 8978000000
Common Stock
n/a
3 3000000
4 4000000
5 5000000
5 5000000
5 5000000
5 5000000
5 5000000
5 5000000
Additional Paid in Capital
n/a
7,569 7569000000
8,985 8985000000
10,448 10448000000
10,391 10391000000
10,038 10038000000
9,894 9894000000
9,123 9123000000
8,973 8973000000
Other Share Capital
n/a
0 0
0 0
0 0
0 0
0 0
0 0
0 0
0 0
Treasury Stock
n/a
-2,120 -2120000000
-1,936 -1936000000
-1,774 -1774000000
-1,718 -1718000000
-1,740 -1740000000
-1,598 -1598000000
-2,527 -2527000000
-3,557 -3557000000
Retained Earnings
n/a
11,336 11336000000
11,164 11164000000
12,077 12077000000
11,001 11001000000
10,745 10745000000
10,683 10683000000
11,191 11191000000
12,550 12550000000
Other Equity
n/a
-7,520 -7520000000
-3,312 -3312000000
-1,001 -1001000000
1,251 1251000000
2,843 2843000000
-79 -79000000
928 928000000
-329 -329000000
Equity Before Minority Interest
n/a
9,268 9268000000
17,865 17865000000
20,311 20311000000
21,486 21486000000
22,447 22447000000
18,905 18905000000
18,720 18720000000
17,642 17642000000
Minority Interest
n/a
92 92000000
29 29000000
0 0
0 0
0 0
0 0
0 0
0 0
Total Equity
n/a
9,360 9360000000
17,894 17894000000
20,311 20311000000
21,486 21486000000
22,447 22447000000
18,905 18905000000
18,720 18720000000
17,642 17642000000
Total Liabilities & Equity
n/a
287,583 287583000000
307,717 307717000000
318,346 318346000000
302,609 302609000000
298,513 298513000000
277,884 277884000000
245,013 245013000000
228,348 228348000000
Remarks restated on n/a restated on Feb 23, 2010 n/a restated on Mar 11, 2011 n/a restated on Feb 24, 2012 n/a restated on Mar 1, 2013 n/a restated on Feb 28, 2014 n/a restated on Feb 27, 2015 n/a restated on Feb 26, 2016 n/a restated on Nov 30, -1 n/a
Cash Flow StatementCF data quality: 100% (?)
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in million USD FY '07FY '08FY '09FY '10FY '11FY '12FY '13FY '14FY '15
Net Income/Starting Line
2,949
-2,749
-887
1,636
712
-38
176
798
1,682
Net Income
0
0
0
0
0
0
0
0
0
Net Income From Discontinued Operations
0
0
0
0
0
0
0
0
0
Other Adjustments
0
0
0
0
0
0
0
0
0
Depreciation & Amortization
794
361
470
596
668
467
189
276
373
Non-Cash Items
8,865
6,741
7,842
3,220
-449
2,285
-6,205
-962
2,161
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
Deferred Income Taxes
0
0
0
0
0
0
0
0
0
Other Non-Cash Adjustments
0
0
0
0
0
0
0
0
0
Net Change in Operating Capital
-6,617
-161
-4,451
-2,143
1,343
-33
7,077
1,774
-1,460
Net Cash From Discontinued Operations (operating)
0
0
0
0
0
0
0
0
0
Cash from Operating Activities
5,991
4,192
2,974
3,309
2,274
2,681
1,237
1,886
2,756
Change in Fixed Assets and Intangibles
0
0
0
0
0
0
0
0
0
Disposition of Fixed Assets & Intangibles
0
0
0
0
0
0
0
0
0
Acquisition of Fixed Assets & Intangibles
0
0
0
0
0
0
0
0
0
Net Change in Investments
-3,127
-6,323
463
178
490
905
5,522
3,113
-1,211
Increase in Investments
0
0
0
0
0
0
0
0
0
Decrease in Investments
0
0
0
0
0
0
0
0
0
Other Investing Activities
-3,049
-2,504
-3,586
-612
-1,672
-3,462
-1,777
-1,417
1,696
Net Cash From Discontinued Operations (investing)
0
0
0
0
0
0
0
0
0
Cash from Investing Activities
-6,176
-8,827
-3,123
-434
-1,182
-2,557
3,745
1,696
485
Dividends Paid
-636
-660
-222
-170
-195
-217
-223
-282
-316
Cash From (Repayment of) Debt
821
2,079
-473
-7
-473
-163
-882
-213
-806
Cash From (Repayment of) Short Term Debt, net
0
0
0
0
0
0
0
0
0
Cash From (Repayment of) Long Term Debt, net
0
0
0
0
0
0
0
0
0
Repayments of Long Term Debt
0
0
0
0
0
0
0
0
0
Cash From Long Term Debt
0
0
0
0
0
0
0
0
0
Cash (Repurchase) of Equity
-976
280
4,304
-1,219
-36
-440
-613
-1,766
-1,208
Increase in Capital Stock
0
0
0
0
0
0
0
0
0
Decrease in Capital Stock
0
0
0
0
0
0
0
0
0
Change in Insurance Reserves
2,051
-4,778
-10,102
-9,874
-9,491
-14,592
-2,114
-2,215
-1,321
Other Financing Activities
-761
7,353
7,016
8,315
9,586
15,184
-1,988
0
507
Net Cash From Discontinued Operations (financing)
0
0
0
0
0
0
0
0
0
Cash from Financing Activities
499
4,274
523
-2,955
-609
-228
-5,820
-4,476
-3,144
Net Cash Before Disc. Operations and FX
314
-361
374
-80
483
-104
-838
-894
97
Change in Cash from Disc. Operations and Other
0
0
0
0
0
0
0
0
0
Net Cash Before Exchange Rates
314
-361
374
-80
483
-104
-838
-894
97
Effect of Foreign Exchange Rates
273
161
-43
0
36
-56
-155
-135
-48
Net Changes in Cash
587
-200
331
-80
519
-160
-993
-1,029
49
Remarks
restated on Feb 23, 2010 n/a
calculated values,
restated on Mar 11, 2011 n/a
calculated values,
restated on Feb 24, 2012 n/a
calculated values,
restated on Mar 1, 2013 n/a
calculated values,
restated on Feb 28, 2014 n/a
calculated values,
restated on Feb 27, 2015 n/a
calculated values,
restated on Feb 26, 2016 n/a
calculated values,
restated on Feb 26, 2016 n/a
calculated values,
restated on Nov 30, -1 n/a
calculated values,
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