HARTFORD INSURANCE GROUP, INC.HIG

時価総額
$383.1億
PER
中小企業向けを含む事業保険の大手。労災、物損、一般賠償、商用自動車などを提供し、SpectrumパッケージやICONによる自動見積もり(新規75%自動化)、Lloyd'sシンジケート1221の単独企業会員を展開。24年7月に最大3.3Bドルの自社株買い枠承認。米国中心に英国と欧米で展開。
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net income662-381767981,682896-3,1311,8072,0851,7372,3651,8152,5043,111
Net realized losses----------530-627-188-61
Amortization of deferred policy acquisition costs---1,7291,5021,5231,4171,4421,6221,7061,6801,8352,0442,282
Additions to deferred policy acquisition costs----1,3901,3901,3831,4041,6351,6661,7511,9472,1592,408
Depreciation and amortization668467189276373398399467451562680625510356
Loss on extinguishment of debt--910-213--21---6-90---9--
Other operating activities, net------4084087685-133109213329
Increase in reinsurance recoverables3135156122-146-2419353238154058247315554
Net change in accrued and deferred income taxes----328-363250-103-886-459-858029100
Increase in insurance liabilities1,451-226-3082263053531,6484937681,4262,4162,1991,8193,058
Increase (Decrease) in Premiums Receivable-----------562708458
Net change in other assets and other liabilities-----1511,177-87378-881581497268
Cash provided by operating activities2,2742,6811,2371,8862,7562,0662,1862,8433,4893,8714,0934,0084,2205,909
Fixed maturities, AFS---25,30925,94624,48631,64624,70018,49919,53422,45714,9966,80610,808
Proceeds From Sale and Maturity of Fair Value Option, Fixed Maturity Securties-----------2250
Proceeds from Sale and Maturity of Marketable Securities-------1,2301,5531,4856261,2132,173401
Mortgage loans5155154686467926477344837719481,5069731,036740
Proceeds from Limited Partnership Investments---490624779274433238167537349295238
Fixed maturities, AFS37,62742,57835,44622,54527,74421,84430,92323,17319,88121,11221,75414,2559,10514,023
Payments for the purchase of Fair Value Option Fixed Maturity Securties-----------216-52
Equity securities at fair value-------1,5001,3169621,4201,3711,18344
Mortgage loans1,8001,4837186048707171,0969831,2751,2642,3861,5961,0551,025
Limited partnerships and other alternative investments---3126204415094813034911,3171,095966664
Net proceeds from (payments for) derivatives-7202,6652,208-10173247314224-32-1127-54129-35
Net additions to property and equipment---121307224250122105114133175215145
Net payments for short-term investments---3181,814-3,0711,3771443,460-1,4913684171606980
Other investing activities, net15781-618-1131-213-131169-4217
Net cash used for investing activities-1,182-2,5573,7451,696485949-1,442-1,962-2,148-2,066-2,466-1,277-2,431-3,768
Additions to Contract Holders Funds---5,2894,7184,1864,6021,81412360898896108
Withdrawals and other deductions from investment and universal life-type contracts---21,87017,08514,79013,5629,21012410275102100115
Repayment of debt------4168261,583500-600--
ProceedsPaymentsIssuanceReturnOfSharesUnderIncentiveAndShareBasedCompensationPlans------------19622
Treasury stock acquired, including related excise tax paid---1,7961,2501,3301,028-2001501,7021,5501,4001,514
Payments for Repurchase of Preferred Stock and Preference Stock424221-----212121212121
Dividends paid on common stock153175202282316334341379433457485506528556
Net cash used for financing activities-609-228-5,820-4,476-3,144-2,541-979-1,467-1,191-1,778-1,581-2,710-1,947-2,076
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations------------143-20
Net increase (decrease) in cash and restricted cash----------23987-15545
Income tax paid179-48669-31380-1306-9-396-496548622812
Interest paid--------261232214212209211