$131.15
+ $1.33 (1.02%)
End-of-day quote: 05/01/2024
NYSE:THG

The Hanover Insurance Group 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
$5.99B $5.47B $5.23B $4.83B $4.89B $4.49B $4.27B $4.05B $5.03B $5.07B $4.79B $4.59B $3.93B $3.15B $2.83B $2.68B $2.67B $2.51B $2.62B $2.72B
GM % Gross Margin %
11.39% 13.75% 21.25% 21.36% 22.46% 19.53% 19.86% 17.37% 22.18% 21.71% 22.15% 14.77% 15.18% 22.05% 21.65% 18.58% 25.92% 25.62% 17.38% 21.84%
OM Operating Margin
1.25% 3.26% 10.62% 10.11% 11.44% 7.92% 7.92% 5.07% 9.65% 9.00% 8.90% 1.97% 2.08% 7.93% 9.59% 7.65% 14.29% 12.44% 4.34% 5.63%
EPS Earnings Per Share
$0.00 $1.56 $5.53 $8.73 $9.32 $8.16 $6.79 $4.74 $4.27 $6.25 $5.19 $5.06 $0.33 $0.32 $2.64 $3.08 $3.40 $4.56 $3.78 $1.09 $2.62
Div. Dividends
$3.28 $3.06 $2.85 $2.65 $2.45 $2.22 $2.04 $2.42 $1.69 $1.52 $1.36 $1.23 $1.13 $1.00 $0.75 $0.45 $0.40 $0.30 $0.00 $0.00
PR % Payout Ratio %
210.26% 55.33% 32.65% 28.43% 30.02% 32.70% 43.04% 56.67% 27.04% 29.29% 26.88% 372.73% 353.13% 37.88% 24.35% 13.24% 8.77% 7.94% 0 0.00%
Sha. Shares
35.8m 35.6m 35.5m 36.4m 38.4m 42.3m 42.5m 42.4m 43m 43.9m 43.7m 44.3m 44.6m 44.9m 47.5m 50.9m 51.8m 51.1m 53.7m 53.2m
OCF Operating Cash Flow
$361.70M $722.30M $823.70M $707.60M $606.20M $626.50M $761.40M $757.40M $444.70M $564.70M $384.00M $408.50M $223.80M $81.30M $223.20M $142.50M $65.00M $24.40M $153.10M $142.40M
FCF Free Cash Flow
$349.80M $704.50M $815.70M $692.70M $592.90M $613.40M $742.80M $741.70M $425.20M $553.50M $361.10M $387.20M $207.30M $70.40M $212.80M $133.00M $55.50M $15.60M $144.80M $134.60M
FCFS Free Cash Flow Per Share
$9.80 $19.79 $22.72 $18.37 $14.82 $14.47 $17.48 $17.33 $9.69 $12.58 $8.19 $8.66 $4.59 $1.54 $4.21 $2.59 $1.07 $0.30 $2.71 $2.53