$97.90
+ $0.41 (0.42%)
End-of-day quote: 05/03/2024
NYSE:HIG

Hartford Financial Services Group Inc-The Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$24.55B $22.36B $22.35B $20.49B $20.74B $18.93B $17.13B $16.25B $15.97B $18.53B $19.00B $21.95B $21.61B $21.96B $24.43B $9.22B $25.92B $26.50B $27.08B $22.71B
GM % Gross Margin %
33.69% 33.01% 35.53% 34.07% 36.85% 33.69% 32.58% 30.24% 33.05% 32.35% 32.41% 30.81% 27.22% 36.49% 12.92% 13.02% 34.20% 29.81% 26.36% 27.41%
OM Operating Margin
13.47% 10.99% 13.71% 11.90% 14.53% 10.96% 5.95% 4.55% 11.49% 11.09% 10.79% 8.52% 2.95% 12.57% -4.40% -38.00% 16.47% 14.64% 11.95% 12.22%
EPS Earnings Per Share
$0.00 $8.88 $7.56 $6.15 $5.78 $5.65 $4.33 $2.74 $3.38 $3.88 $3.36 $3.55 $2.88 $1.94 $2.89 $1.85 $2.74 $10.99 $9.07 $7.36 $6.63
Div. Dividends
$1.75 $1.58 $1.44 $1.30 $1.23 $1.10 $0.94 $0.86 $0.78 $0.66 $0.50 $0.40 $0.40 $0.25 $0.20 $1.91 $2.03 $1.70 $1.17 $1.13
PR % Payout Ratio %
19.71% 20.90% 23.41% 22.49% 21.77% 25.40% 34.31% 25.44% 20.10% 19.64% 14.08% 13.89% 20.62% 8.65% 10.81% 69.71% 18.47% 18.74% 15.90% 17.04%
Sha. Shares
298.47m 315.11m 334.93m 358.49m 359.57m 359.15m 356.84m 373.95m 401.82m 424.42m 453.29m 436.31m 442.54m 444.55m 383.01m 300.58m 313.84m 323.32m 302.15m 294.21m
OCF Operating Cash Flow
$4.22B $4.01B $4.09B $3.87B $3.49B $2.84B $2.19B $2.07B $2.76B $1.89B $1.24B $2.68B $2.27B $3.31B $2.97B $4.19B $5.99B $5.64B $3.73B $2.63B
FCF Free Cash Flow
$4.77B $3.83B $3.96B $3.76B $3.38B $2.72B $1.94B $1.84B $2.45B $1.77B $1.17B $2.62B $0.00M $0.00M $0.00M $0.00M $0.00M $5.44B $3.52B $2.45B
FCFS Free Cash Flow Per Share
$12.97 $11.74 $11.28 $10.43 $9.32 $7.59 $5.32 $4.75 $5.89 $4.00 $2.57 $5.88 $5.02 $7.47 $8.38 $13.67 $18.94 $17.63 $11.82 $8.40