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For the year ending 2025-12-31, HIG-PG has $85,997M in assets. $67,018M in debts.

Balance Sheets Overview

Debt to Asset Ratio
77.93%
Assets Breakdown
    • Total fixed maturities, afs
    • Reinsurance recoverables (net of...
    • Financing receivable, after allo...
    • Others
Liabilities Breakdown
    • Unpaid losses and loss adjustmen...
    • Retained earnings
    • Unearned premiums
    • Others

Unit: Million (M) dollars (except for numbers of shares and EPS)
Balance Sheets
2025-12-31
2024-12-31
2023-12-31
2022-12-31
Total fixed maturities, afs
46,041 42,567 39,818 36,231
Fixed maturities, at fair value using the fair value option ('fvo securities')
168 308 327 333
Equity securities, at fair value
492 603 864 1,801
Financing receivable, before allowance for credit loss
---6,036
Mortgage loans (net of acl of 36 and 29)
---36
Financing receivable, after allowance for credit loss
6,837 6,396 6,087 6,000
Limited partnerships and other alternative investments
5,804 5,042 4,785 4,177
Other investments
262 226 191 159
Short-term investments
4,353 4,068 3,850 3,859
Total investments
63,957 59,210 55,922 52,560
Cash
133 183 126 229
Restricted cash
44 51 63 115
Accrued investment income receivable
474 450 404 -
Premiums receivable, gross
6,458 6,115 -5,058
Premium receivable, allowance for credit loss
142 117 -109
Premiums receivable and agents' balances (net of acl of 142 and 117)
6,316 5,998 5,607 4,949
Reinsurance recoverables, gross
---7,071
Allowance for uncollectible reinsurance
---105
Reinsurance recoverables (net of allowance for uncollectible reinsurance of 69 and 75)
7,191 7,140 7,104 6,966
Deferred policy acquisition costs
1,347 1,239 1,113 1,002
Deferred income taxes, net
901 1,229 1,173 1,449
Goodwill
1,911 1,911 1,911 1,911
Property and equipment, net
931 888 896 927
Other intangible assets, net
566 637 707 778
Other assets
2,226 1,981 1,754 2,136
Total assets
85,997 80,917 76,780 73,022
Unpaid losses and loss adjustment expenses
46,268 44,610 42,318 41,243
Liability for future policy benefit, before reinsurance
444 448 484 561
Policyholder account balance
612 614 638 658
Unearned premiums
10,053 9,408 8,599 7,815
Long-term debt
4,371 4,366 4,362 4,357
Other liabilities
5,270 5,024 5,052 4,757
Total liabilities
67,018 64,470 61,453 59,391
Preferred stock, 0.01 par value 50,000,000 shares authorized, 13,800 shares issued at december31, 2025 and december31, 2024, aggregate liquidation preference of 345
334 334 334 334
Common stock, value, issued
3 3 3 3
Additional paid-in capital
549 578 648 1,895
Retained earnings
24,739 21,531 19,007 17,048
Treasury stock, value
4,589 3,113 1,816 1,773
Accumulated other comprehensive loss, net of tax
-2,057 -2,886 -2,849 -3,876
Total stockholders' equity
18,979 16,447 15,327 13,631
Total liabilities and stockholders equity
85,997 80,917 76,780 73,022
Unit: Million (M) dollars

Time Plot

Show the time plot by selecting a row from the table.

Balance Sheets

Premiums receivable,gross$6,458M Short-term investments$4,353M Other investments$262M Limited partnershipsand other...$5,804M Financing receivable,after allowance for...$6,837M Equity securities, atfair value$492M Fixed maturities, atfair value using the...$168M Total fixedmaturities, afs$46,041M Other assets$2,226M Other intangibleassets, net$566M Property and equipment,net$931M Goodwill$1,911M Deferred income taxes,net$901M Deferred policyacquisition costs$1,347M Reinsurance recoverables(net of allowance for...$7,191M Premiums receivable andagents' balances (net of...$6,316M Accrued investmentincome receivable$474M Restricted cash$44M Cash$133M Total investments$63,957M Premium receivable,allowance for credit loss$142M Total assets$85,997M Total liabilities andstockholders equity$85,997M Total stockholders'equity$18,979M Total liabilities$67,018M Accumulated othercomprehensive loss, net of tax-$2,057M Treasury stock, value$4,589M Retained earnings$24,739M Other liabilities$5,270M Long-term debt$4,371M Unearned premiums$10,053M Policyholder account balance$612M Liability for futurepolicy benefit, before...$444M Unpaid losses and lossadjustment expenses$46,268M Additional paid-in capital$549M Common stock, value,issued$3M Preferred stock, 0.01 parvalue 50,000,000...$334M

HARTFORD INSURANCE GROUP, INC. (HIG-PG)

HARTFORD INSURANCE GROUP, INC. (HIG-PG)