The Hartford Insurance Group revenue and financials

HIG · NYSE · USD

$126.79Change from previous close: +0.46%Absolute change: +$0.58

Close · October 6, 2026

In the fiscal year ended December 2025, The Hartford Insurance Group reported revenue of $28.37B (+6.91% year over year). Net income was $3.84B, a net margin of 13.5%.

Annual revenue · 2025: $28.37B
  1. $16.29B2016
  2. $17.16B2017
  3. $18.96B2018
  4. $20.74B2019
  5. $20.52B2020
  6. $22.39B2021
  7. $22.36B2022
  8. $24.53B2023
  9. $26.54B2024
  10. $28.37B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+6.91%
2025 vs 2024
Net income growth
+23.30%
2025 vs 2024
Net margin
13.5%
2024: 11.7%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow1,1891,0451,8081,8381,2919851,8741,6781,2601,0971,6271,771
Depreciation and amortization1111084.075.094.092.0-24.085.060.012739.0128
Capital expenditure—-31.0-46.0-45.0-40.0-38.0——————
Investing cash flow-551-332-1,299-1,315-743-401-1,356-1,089-888-435-1,165-1,319
Financing cash flow-634-663-540-544-543-608-547-520-480-529-454-489
Dividends paid-170-172-151-153-154-155-142-144-145-146-134-137
Share repurchases-466-450-400-400-415———————
Effect of exchange rates-3.0-7.02.08.0-2.06.0-18.02.0-4.0——-4.0
Net change in cash-6.043.0-29.0-13.03.0-18.0-47.071.0-1121338.0-41.0
Free cash flow1,2201,0141,7621,7931,2519471,9001,6181,1991,0471,5631,719
Levered free cash flow1,3341,6201,3801,0921,4261,8331,2441,6305601,7033561,100