The Hartford Insurance Group, Inc. (HIG) Financial Statements

Historical financial data — 41 statements covering FY2016–FY2025

The Hartford Insurance Group Inc. provides property and casualty insurance, group benefits, and mutual funds. The company is widely recognized for its service excellence, sustainability practices,...

The Hartford Insurance Group, Inc.'s revenue increased 6.9% year over year, from $26.54B to $28.37B.

Net income increased 23.3% over the same period, from $3.11B to $3.84B.

Over the 9-year period from FY2016 to FY2025, revenue grew by 55% in total.

Total debt remained relatively stable at $4.37B.

The debt-to-equity ratio stands at 0.23, indicating a conservative leverage profile.

Operating cash flow grew 0.2% to $5.92B.

The Hartford Insurance Group, Inc. maintains a healthy net profit margin of 13.5%.

Recent Financial Statements

PeriodRevenueNet IncomeGross ProfitEBITOp. Cash FlowTotal AssetsTotal DebtEquity
Q3 FY2023$18.13B+51.6%$1.73BN/A$2.14B$2.59B$74.52B$4.36B$13.68B
Q1 FY2024$6.42B-64.6%$753.0MN/A$911.0M$1.10B$77.71B$4.36B$15.47B
Q2 FY2024$12.90B+101.0%$1.49BN/A$1.82B$2.36B$79.05B$4.36B$15.68B
Q3 FY2024$19.66B+52.3%$2.26BN/A$2.77B$4.04B$81.22B$4.37B$17.01B
Q1 FY2025$6.81B-65.4%$630.0MN/A$783.0M$985.0M$82.31B$4.37B$16.84B
Q2 FY2025$13.80B+102.6%$1.63BN/A$2.03B$2.28B$83.64B$4.37B$17.52B
Q3 FY2025$21.03B+52.4%$2.71BN/A$3.35B$4.11B$85.00B$4.37B$18.45B
Q1 FY2026$7.23B-65.6%$856.0MN/A$1.06B$1.04B$86.32B$4.37B$18.89B

Balance Sheet Summary (Latest Period)

Total Assets
$86.00B
Total Liabilities
$67.02B
Total Equity
$18.98B
Cash & Equivalents
$4.35B
Total Debt
$4.37B
Current Assets
N/A
Current Liabilities
N/A
Retained Earnings
$24.74B
Current Price: $138.35
Market Cap: $37.5B
Sector: Financial Services