US Stock MarketDetailed Quotes

Hartford Insurance (HIG)

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  • 134.260
  • +1.630+1.23%
Close May 14 15:59 ET
  • 134.260
  • 0.0000.00%
Post 18:48 ET
36.80BMarket Cap9.45P/E (TTM)

Hartford Insurance (HIG) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
6.09%1.05B
0.22%5.92B
-3.52%1.81B
9.54%1.84B
2.46%1.29B
-10.21%985M
40.02%5.91B
15.18%1.87B
-5.25%1.68B
2,671.43%1.26B
Net income from continuing operations
35.87%856M
23.30%3.84B
32.59%1.13B
40.81%1.08B
34.82%995M
-16.33%630M
24.24%3.11B
10.64%853M
17.82%767M
34.92%738M
Operating gains losses
12.24%55M
63.93%100M
84.93%-11M
-17.95%32M
-75.61%30M
275.00%49M
-67.55%61M
-204.29%-73M
-48.68%39M
251.43%123M
Other non cash items
-10.19%-595M
-19.10%-2.48B
-31.62%-616M
-18.04%-674M
-15.77%-646M
-12.03%-540M
-6.83%-2.08B
1.68%-468M
-8.56%-571M
-7.72%-558M
Change in working capital
-123.81%-35M
-28.83%1.55B
-39.27%484M
-11.64%706M
-46.75%213M
-19.23%147M
136.74%2.18B
23.18%797M
-12.29%799M
151.75%400M
-Change in receivables
29.53%-327M
5.86%-482M
132.61%107M
-21.08%131M
24.48%-256M
-20.52%-464M
40.67%-512M
120.63%46M
854.55%166M
-8.31%-339M
-Change in loss and loss adjustment expense reserves
-22.69%862M
-25.70%2.27B
-78.68%113M
-39.61%375M
-35.49%669M
28.16%1.12B
68.11%3.06B
-2.03%530M
13.53%621M
3,556.67%1.04B
-Change in other working capital
-13.10%-570M
34.78%-240M
471.43%240M
17.28%224M
32.89%-200M
-66.34%-504M
-922.22%-368M
-83.59%42M
-58.39%191M
30.70%-298M
Cash from discontinued operating activities
Operating cash flow
6.09%1.05B
0.22%5.92B
-3.52%1.81B
9.54%1.84B
2.46%1.29B
-10.21%985M
40.02%5.91B
15.18%1.87B
-5.25%1.68B
2,671.43%1.26B
Investing cash flow
Cash flow from continuing investing activities
17.21%-332M
0.27%-3.76B
4.20%-1.3B
-20.75%-1.32B
16.33%-743M
7.82%-401M
-55.00%-3.77B
-16.39%-1.36B
17.44%-1.09B
-277.96%-888M
Net investment purchase and sale
115.89%41M
19.35%-2.34B
39.46%-813M
-10.61%-907M
37.50%-365M
-63.29%-258M
-93.02%-2.91B
-42.42%-1.34B
28.45%-820M
-177.97%-584M
Net proceeds payment for loan
-525.00%-170M
-48.42%-423M
-824.14%-210M
-173.21%-153M
35.48%-100M
138.83%40M
-1,400.00%-285M
383.33%29M
---56M
-773.91%-155M
Net PPE purchase and sale
18.42%-31M
-16.55%-169M
-276.92%-46M
25.00%-45M
34.43%-40M
24.00%-38M
32.56%-145M
140.63%26M
-15.38%-60M
-22.00%-61M
Net business purchase and sale
-21.49%-147M
-72.30%-734M
-133.33%-203M
-59.52%-201M
-134.83%-209M
2.42%-121M
36.51%-426M
43.51%-87M
-5.88%-126M
59.73%-89M
Net other investing changes
-4.17%-25M
-1,171.43%-89M
-242.11%-27M
66.67%-9M
---29M
---24M
66.67%-7M
290.00%19M
-1,250.00%-27M
----
Cash from discontinued investing activities
Investing cash flow
17.21%-332M
0.27%-3.76B
4.20%-1.3B
-20.75%-1.32B
16.33%-743M
7.82%-401M
-55.00%-3.77B
-16.39%-1.36B
17.44%-1.09B
-277.96%-888M
Financing cash flow
Cash flow from continuing financing activities
-9.05%-663M
-7.66%-2.24B
1.28%-540M
-4.62%-544M
-13.13%-543M
-14.93%-608M
-6.63%-2.08B
-20.48%-547M
-6.34%-520M
-4.58%-480M
Net issuance payments of debt
----
----
----
----
----
----
--0
----
----
----
Net common stock issuance
-12.50%-450M
-6.67%-1.62B
3.38%-400M
0.00%-400M
-18.57%-415M
-14.29%-400M
-8.14%-1.51B
-18.29%-414M
-14.29%-400M
0.00%-350M
Cash dividends paid
-10.97%-172M
-6.24%-613M
-6.34%-151M
-6.25%-153M
-6.21%-154M
-6.16%-155M
-5.10%-577M
-5.97%-142M
-5.11%-144M
-4.32%-145M
Proceeds from stock option exercised by employees
27.78%-39M
-181.82%-18M
-33.33%4M
-56.00%11M
16.67%21M
-100.00%-54M
266.67%22M
-80.65%6M
--25M
157.14%18M
Net other financing charges
-300.00%-2M
257.14%11M
133.33%7M
-100.00%-2M
266.67%5M
116.67%1M
-75.00%-7M
400.00%3M
50.00%-1M
-113.04%-3M
Cash from discontinued financing activities
Financing cash flow
-9.05%-663M
-7.66%-2.24B
1.28%-540M
-4.62%-544M
-13.13%-543M
-14.93%-608M
-6.63%-2.08B
-20.48%-547M
-6.34%-520M
-4.58%-480M
Net cash flow
Beginning cash position
-24.36%177M
23.81%234M
-26.69%206M
4.29%219M
-32.92%216M
23.81%234M
-45.06%189M
55.25%281M
-5.41%210M
47.71%322M
Current changes in cash
308.33%50M
-209.23%-71M
-6.90%-31M
-130.43%-21M
104.63%5M
-118.05%-24M
141.14%65M
-462.50%-29M
286.49%69M
-1,100.00%-108M
Effect of exchange rate changes
-216.67%-7M
170.00%14M
111.11%2M
300.00%8M
50.00%-2M
--6M
-766.67%-20M
---18M
150.00%2M
-130.77%-4M
End cash position
1.85%220M
-24.36%177M
-24.36%177M
-26.69%206M
4.29%219M
-32.92%216M
23.81%234M
23.81%234M
55.25%281M
-5.41%210M
Free cash flow
7.07%1.01B
-0.19%5.75B
-7.26%1.76B
10.82%1.79B
4.34%1.25B
-9.55%947M
43.92%5.76B
21.56%1.9B
-5.88%1.62B
1,311.11%1.2B
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 6.09%1.05B0.22%5.92B-3.52%1.81B9.54%1.84B2.46%1.29B-10.21%985M40.02%5.91B15.18%1.87B-5.25%1.68B2,671.43%1.26B
Net income from continuing operations 35.87%856M23.30%3.84B32.59%1.13B40.81%1.08B34.82%995M-16.33%630M24.24%3.11B10.64%853M17.82%767M34.92%738M
Operating gains losses 12.24%55M63.93%100M84.93%-11M-17.95%32M-75.61%30M275.00%49M-67.55%61M-204.29%-73M-48.68%39M251.43%123M
Other non cash items -10.19%-595M-19.10%-2.48B-31.62%-616M-18.04%-674M-15.77%-646M-12.03%-540M-6.83%-2.08B1.68%-468M-8.56%-571M-7.72%-558M
Change in working capital -123.81%-35M-28.83%1.55B-39.27%484M-11.64%706M-46.75%213M-19.23%147M136.74%2.18B23.18%797M-12.29%799M151.75%400M
-Change in receivables 29.53%-327M5.86%-482M132.61%107M-21.08%131M24.48%-256M-20.52%-464M40.67%-512M120.63%46M854.55%166M-8.31%-339M
-Change in loss and loss adjustment expense reserves -22.69%862M-25.70%2.27B-78.68%113M-39.61%375M-35.49%669M28.16%1.12B68.11%3.06B-2.03%530M13.53%621M3,556.67%1.04B
-Change in other working capital -13.10%-570M34.78%-240M471.43%240M17.28%224M32.89%-200M-66.34%-504M-922.22%-368M-83.59%42M-58.39%191M30.70%-298M
Cash from discontinued operating activities
Operating cash flow 6.09%1.05B0.22%5.92B-3.52%1.81B9.54%1.84B2.46%1.29B-10.21%985M40.02%5.91B15.18%1.87B-5.25%1.68B2,671.43%1.26B
Investing cash flow
Cash flow from continuing investing activities 17.21%-332M0.27%-3.76B4.20%-1.3B-20.75%-1.32B16.33%-743M7.82%-401M-55.00%-3.77B-16.39%-1.36B17.44%-1.09B-277.96%-888M
Net investment purchase and sale 115.89%41M19.35%-2.34B39.46%-813M-10.61%-907M37.50%-365M-63.29%-258M-93.02%-2.91B-42.42%-1.34B28.45%-820M-177.97%-584M
Net proceeds payment for loan -525.00%-170M-48.42%-423M-824.14%-210M-173.21%-153M35.48%-100M138.83%40M-1,400.00%-285M383.33%29M---56M-773.91%-155M
Net PPE purchase and sale 18.42%-31M-16.55%-169M-276.92%-46M25.00%-45M34.43%-40M24.00%-38M32.56%-145M140.63%26M-15.38%-60M-22.00%-61M
Net business purchase and sale -21.49%-147M-72.30%-734M-133.33%-203M-59.52%-201M-134.83%-209M2.42%-121M36.51%-426M43.51%-87M-5.88%-126M59.73%-89M
Net other investing changes -4.17%-25M-1,171.43%-89M-242.11%-27M66.67%-9M---29M---24M66.67%-7M290.00%19M-1,250.00%-27M----
Cash from discontinued investing activities
Investing cash flow 17.21%-332M0.27%-3.76B4.20%-1.3B-20.75%-1.32B16.33%-743M7.82%-401M-55.00%-3.77B-16.39%-1.36B17.44%-1.09B-277.96%-888M
Financing cash flow
Cash flow from continuing financing activities -9.05%-663M-7.66%-2.24B1.28%-540M-4.62%-544M-13.13%-543M-14.93%-608M-6.63%-2.08B-20.48%-547M-6.34%-520M-4.58%-480M
Net issuance payments of debt --------------------------0------------
Net common stock issuance -12.50%-450M-6.67%-1.62B3.38%-400M0.00%-400M-18.57%-415M-14.29%-400M-8.14%-1.51B-18.29%-414M-14.29%-400M0.00%-350M
Cash dividends paid -10.97%-172M-6.24%-613M-6.34%-151M-6.25%-153M-6.21%-154M-6.16%-155M-5.10%-577M-5.97%-142M-5.11%-144M-4.32%-145M
Proceeds from stock option exercised by employees 27.78%-39M-181.82%-18M-33.33%4M-56.00%11M16.67%21M-100.00%-54M266.67%22M-80.65%6M--25M157.14%18M
Net other financing charges -300.00%-2M257.14%11M133.33%7M-100.00%-2M266.67%5M116.67%1M-75.00%-7M400.00%3M50.00%-1M-113.04%-3M
Cash from discontinued financing activities
Financing cash flow -9.05%-663M-7.66%-2.24B1.28%-540M-4.62%-544M-13.13%-543M-14.93%-608M-6.63%-2.08B-20.48%-547M-6.34%-520M-4.58%-480M
Net cash flow
Beginning cash position -24.36%177M23.81%234M-26.69%206M4.29%219M-32.92%216M23.81%234M-45.06%189M55.25%281M-5.41%210M47.71%322M
Current changes in cash 308.33%50M-209.23%-71M-6.90%-31M-130.43%-21M104.63%5M-118.05%-24M141.14%65M-462.50%-29M286.49%69M-1,100.00%-108M
Effect of exchange rate changes -216.67%-7M170.00%14M111.11%2M300.00%8M50.00%-2M--6M-766.67%-20M---18M150.00%2M-130.77%-4M
End cash position 1.85%220M-24.36%177M-24.36%177M-26.69%206M4.29%219M-32.92%216M23.81%234M23.81%234M55.25%281M-5.41%210M
Free cash flow 7.07%1.01B-0.19%5.75B-7.26%1.76B10.82%1.79B4.34%1.25B-9.55%947M43.92%5.76B21.56%1.9B-5.88%1.62B1,311.11%1.2B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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