More on HIG

- Summary
- Chart
- Profile
- Historical

Data

- Earnings (-5.9% Growth)
- Ratings (5.6 Score)
- Holders
- Dividends (1.5% Yield)
- Event Driven Deals

Financials

Income Statement
Balance Sheet
Cash Flow Statement

Upcoming Events

- Earnings (7/23/26)
- M&A (Rumor)

News

- Analyst Ratings
- Earnings Related
- Guidance
- Insider Trades
- Mgmt Changes
- M & A
- Retail Sales
- Rumors
- Stock Buybacks
More...

HIG Cash Flow Statement

Click line-items for a historical chart and %
Net income
Amortization of deferred policy acquisition costs and present value of future profits
Additions to deferred policy acquisition costs and present value of future profits
Change in reserve for future policy benefits and unpaid losses and loss adjustment expenses and unearned premiums 403M
Change in reinsurance recoverables 349M
Change in receivables and other assets
Change in payables and accruals
Change in accrued and deferred income taxes
Net realized capital losses
Net disbursements from investment contracts related to policyholder funds - international variable annuities
Net decrease in equity securities, trading
Depreciation and amortization 296M
Goodwill impairment
Other operating activities, net
Net cash provided by operating activities 1.41B
Fixed maturities, available-for-sale
Fixed maturities, fair value option
Equity securities, available-for-sale 562M
Mortgage loans 325M
Partnerships
Fixed maturities, available-for-sale -16.14B
Fixed maturities, fair value option
Equity securities, available-for-sale -384M
Mortgage loans -305M
Partnerships
Proceeds from business sold
Derivatives, net
Change in policy loans, net
Change in payables for collateral under securities lending, net
Other investing activities, net 32M
Net cash provided by (used for) investing activities 945M
Deposits and other additions to investment and universal life-type contracts
Withdrawals and other deductions from investment and universal life-type contracts
Net transfers from separate accounts related to investment and universal life-type contracts
Proceeds from issuance of long-term debt
Repayments at maturity for long-term debt and payments on capital lease obligations
Repayments at maturity or settlement of consumer notes -14M
Net proceeds from issuance of mandatory convertible preferred stock
Net proceeds from issuance of common shares under public offering
Redemption of preferred stock issued to the U.S. Treasury
Proceeds from net issuance of shares under incentive and stock compensation plans, excess tax benefit and other
Dividends paid on preferred stock
Dividends paid on common stock -253M
Changes in bank deposits and payments on bank advances
Net cash provided by (used for) financing activities -1.97B
Foreign exchange rate effect on cash -21M
Net increase (decrease) in cash
Cash - beginning of period 448M
Cash - end of period 810M
Income taxes paid -131M
Interest paid -239M