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Financial Services - Insurance - Diversified - NYSE - US
$ 117.95
1.31 %
$ 34.2 B
Market Cap
11.85
P/E
BALANCE SHEET
70.1 B ASSETS
-4.01%
54.8 B LIABILITIES
-7.78%
15.3 B EQUITY
12.44%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition The Hartford Financial Services Group, Inc.
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Current Assets 11.6 B
Cash & Short-Term Investments 126 M
Receivables 0
Other Current Assets 11.4 B
Non-Current Assets 76.7 B
Long-Term Investments 4.98 B
PP&E 896 M
Other Non-Current Assets 70.8 B
Current Liabilities 35.2 B
Accounts Payable 0
Short-Term Debt 0
Other Current Liabilities 35.2 B
Non-Current Liabilities 19.6 B
Long-Term Debt 4.36 B
Other Non-Current Liabilities 15.2 B

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995
ASSETS
Cash & Cash Equivalents 126.0 229.0 205.0 151.0 185.0 121.0 180.0 882.0 448.0 399.0 1 428.0 2 421.0 2 581.0 2 062.0 1 898.0 1 648.0 2 011.0 1 424.0 1 273.0 1 148.0 462.0 377.0 353.0 227.0 182.0 123.0 140.0 112.0 0
Short Term Investments 5 351.0 40 090.0 46 544.0 48 318.0 45 069.0 39 935.0 40 246.0 60 344.0 62 160.0 65 314.0 67 233.0 91 393.0 7 736.0 8 528.0 7 079.0 6 937.0 4 783.0 1 917.0 1 253.0 2 180.0 1 507.0 1 790.0 1 977.0 1 511.0 758.0 6 687.0 3 759.0 3 839.0 0
Receivables 0 11 913.0 10 968.0 10 279.0 9 911.0 8 352.0 7 971.0 0 0 0 0 8 208.0 3 446.0 3 273.0 3 404.0 407.0 8 831.0 5 571.0 10 094.0 9 413.0 9 043.0 7 706.0 7 594.0 6 874.0 6 544.0 6 811.0 12 712.0 13 026.0 0
Inventory 0 (10 566.0) (9 914.0) (9 236.0) (9 067.0) 0 0 0 0 0 0 0 0 0 6 530.0 6 445.0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 10 242.0 839.0 0 0 0 0 0 208 462.0 226 510.0 290 756.0 270 011.0 342 038.0 315 290.0 270 534.0 244 631.0 0 0 0 0 0 0 0 0 0
Total Current Assets 11 551.0 52 234.0 57 717.0 58 748.0 55 165.0 39 768.0 49 236.0 4 126.0 2 291.0 5 282.0 21 173.0 31 354.0 222 225.0 240 373.0 306 659.0 285 448.0 357 663.0 324 202.0 283 154.0 257 372.0 11 012.0 9 873.0 9 924.0 8 612.0 7 484.0 6 934.0 12 852.0 13 138.0 0
PP&E 896.0 927.0 1 027.0 1 122.0 1 181.0 1 006.0 1 034.0 991.0 974.0 831.0 877.0 977.0 1 029.0 1 150.0 322.0 400.0 972.0 791.0 683.0 643.0 0 0 0 0 0 0 0 0 0
Intangible Assets 707.0 778.0 858.0 950.0 1 070.0 657.0 659.0 689.0 1 816.0 1 823.0 2 161.0 49.0 0 0 0 462.0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 1 911.0 1 911.0 1 911.0 1 911.0 1 913.0 1 290.0 1 290.0 567.0 498.0 498.0 498.0 654.0 1 006.0 1 051.0 470.0 1 060.0 1 726.0 1 717.0 1 720.0 1 720.0 1 720.0 1 721.0 1 694.0 0 0 0 0 0 0
Long Term Investments 4 976.0 46 401.0 51 991.0 51 838.0 48 495.0 42 894.0 41 875.0 63 093.0 65 537.0 68 755.0 90 862.0 124 428.0 122 293.0 120 790.0 86 992.0 52 830.0 123 615.0 113 804.0 103 188.0 91 746.0 63 335.0 51 596.0 43 372.0 37 059.0 34 919.0 36 397.0 36 975.0 33 314.0 0
Other Long Term Assets 66 571.0 (1 449.0) (270.0) (46.0) (299.0) (24 556.0) 130 002.0 151 374.0 155 842.0 166 750.0 160 634.0 139 158.0 (43 887.0) (48 743.0) (90 666.0) (56 796.0) (123 923.0) (114 088.0) (103 863.0) (92 165.0) (65 055.0) (53 317.0) (45 066.0) (37 059.0) (34 919.0) (36 397.0) (36 975.0) (33 314.0) 0
Other Assets (18 109.0) (29 229.0) (36 926.0) (40 458.0) (37 007.0) 0 0 0 0 0 0 0 (1 455.0) 0 (42 983.0) (39 692.0) 0 0 0 0 149 786.0 118 853.0 126 248.0 125 861.0 124 648.0 107 301.0 81 916.0 62 388.0 0
Total Assets 70 096.0 73 022.0 76 578.0 74 111.0 70 817.0 62 307.0 225 260.0 223 432.0 228 348.0 245 013.0 277 884.0 298 513.0 302 609.0 318 346.0 264 734.0 247 891.0 360 361.0 326 710.0 285 557.0 259 735.0 225 853.0 182 043.0 181 238.0 171 532.0 167 051.0 150 632.0 131 743.0 108 840.0 93 855.0
LIABILITIES
Accounts Payable 0 658.0 687.0 701.0 755.0 767.0 816.0 31 176.0 31 670.0 32 532.0 58 763.0 70 901.0 76 073.0 77 343.0 78 148.0 84 552.0 80 342.0 71 311.0 64 452.0 52 833.0 0 0 0 0 0 0 0 0 0
Short Term Debt 0 0 0 0 500.0 413.0 320.0 416.0 275.0 456.0 438.0 320.0 0 400.0 343.0 398.0 1 365.0 857.0 719.0 621.0 1 050.0 315.0 599.0 235.0 31.0 31.0 291.0 500.0 886.0
Other Current Liabilities 35 214.0 0 (687.0) (701.0) 0 0 0 0 0 0 0 0 (76 073.0) 0 (78 491.0) (84 950.0) 0 (258.0) 0 0 (1 050.0) (315.0) (599.0) (235.0) (31.0) (31.0) (291.0) (500.0) (886.0)
Total Current Liabilities 35 214.0 2 107.0 687.0 701.0 500.0 44 941.0 207 088.0 203 179.0 205 622.0 220 640.0 252 789.0 269 099.0 274 624.0 291 446.0 283 220.0 271 282.0 337 206.0 304 072.0 266 184.0 241 189.0 209 601.0 168 713.0 170 260.0 162 206.0 160 037.0 142 661.0 124 176.0 103 288.0 886.0
Long Term Debt 4 362.0 4 357.0 4 944.0 4 352.0 4 348.0 4 265.0 4 678.0 4 494.0 5 084.0 5 653.0 6 106.0 6 967.0 6 530.0 6 589.0 6 632.0 7 033.0 3 142.0 3 504.0 4 048.0 4 308.0 4 610.0 4 064.0 2 775.0 1 862.0 1 548.0 1 548.0 2 482.0 1 032.0 1 022.0
Deferred Tax Income 420.0 306.0 777.0 1 098.0 824.0 249.0 539.0 866.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 13 776.0 54 376.0 0 0 48 944.0 0 0 170 443.0 0 0 193 672.0 197 878.0 (6 530.0) 213 703.0 (6 632.0) (7 033.0) 256 308.0 232 420.0 201 013.0 187 735.0 (4 610.0) (4 064.0) (2 775.0) (1 862.0) (1 548.0) (1 548.0) (2 482.0) (1 032.0) (1 022.0)
Total Liabilities 54 769.0 59 391.0 4 944.0 4 352.0 54 547.0 49 206.0 211 766.0 206 529.0 210 706.0 226 293.0 258 979.0 276 066.0 281 123.0 298 035.0 253 178.0 240 312.0 341 157.0 307 834.0 270 232.0 245 497.0 214 214.0 171 309.0 172 225.0 164 068.0 161 156.0 143 744.0 125 261.0 104 320.0 89 153.0
EQUITY
Common Stock 3.0 17 173.0 4.0 17 052.0 15 884.0 14 346.0 12 831.0 4.0 17 971.0 17 792.0 18 984.0 19 048.0 19 679.0 5.0 4.0 3.0 3.0 3.0 3.0 3.0 3.0 3.0 2.0 2.0 2.0 2.0 1.0 1.0 0
Retained Earnings 19 007.0 17 048.0 15 764.0 13 918.0 12 685.0 11 055.0 9 642.0 13 114.0 12 550.0 11 191.0 10 683.0 10 745.0 1 251.0 12 077.0 11 164.0 11 336.0 14 686.0 12 421.0 10 207.0 8 283.0 6 499.0 6 890.0 6 152.0 5 887.0 5 127.0 4 474.0 3 658.0 2 515.0 2 802.0
Other Accumulative Comprehensive Income/Loss (2 849.0) (3 876.0) 172.0 1 170.0 52.0 (1 579.0) 663.0 (337.0) (329.0) 928.0 (79.0) 2 843.0 1 157.0 (1 001.0) (3 312.0) (7 520.0) (858.0) 178.0 90.0 1 425.0 1 246.0 1 094.0 534.0 369.0 (272.0) 811.0 832.0 392.0 0
Total Equity 15 327.0 13 631.0 17 843.0 18 556.0 16 270.0 13 101.0 13 494.0 16 903.0 17 642.0 18 720.0 18 905.0 22 447.0 21 486.0 20 311.0 11 556.0 7 579.0 19 204.0 18 876.0 15 325.0 14 238.0 11 639.0 10 734.0 9 013.0 7 464.0 5 895.0 6 888.0 6 482.0 4 520.0 4 702.0
Total Liabilities and Equity 70 096.0 73 022.0 76 578.0 74 111.0 70 817.0 62 307.0 225 260.0 223 432.0 228 348.0 245 013.0 277 884.0 298 513.0 302 609.0 318 346.0 264 734.0 247 891.0 360 361.0 326 710.0 285 557.0 259 735.0 225 853.0 182 043.0 181 238.0 171 532.0 167 051.0 150 632.0 131 743.0 108 840.0 93 855.0
SHARES OUTSTANDING
Common Shares Outstanding 307.1 324.8 349.1 358.3 360.9 358.4 363.7 387.7 415.5 441.8 447.7 437.7 431.5 431.5 346.3 308.8 316.3 308.8 298.0 292.3 272.4 249.4 237.7 220.6 224.9 232.8 236.0 234.6 233.9