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The Hartford Financial Services Group Balance Sheet Statement

Assets, liabilities, and shareholders' equity

The Hartford Financial Services Group holds $86.3B in total assets. Shareholders' equity is $18.9B against $4.4B in total debt. Cash and equivalents total $166.0M. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-04-23
Market Cap$35.2B
P/E Ratio8.67
ROE22.74%

Non-Current Assets

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Available-for-Sale Debt Securities - Fair Value (Maturing 1 to 5 Years)$9.6B$9.6B$9.9B$9.8B$9.7B$9.9B
Available-for-Sale Debt Securities - Fair Value (No Single Maturity Date)$15.8B$16.5B$16.3B$16.5B$16.8B$16.7B
Alternative Investments Fair Value$5B$5.1B$5.3B$5.6B$5.8B$5.9B
Allowance for credit losses$16M$14M$14M$14M$16M$16M
Gross loans$6.4B$6.4B$6.5B$6.6B$6.8B$7B
Purchased Credit Deteriorated Loans$6.4B$6.4B$6.5B$6.6B$6.8B$7B
Deferred tax assets$1.2B$1.1B$1.1B$866M$901M$922M
Available-for-sale securities$42.6B$9.5B$9.9B$9.9B$9.8B$9.9B
Goodwill$1.9B$1.9B$1.9B$1.9B$1.9B$1.9B
Deferred policy acquisition costs$1.2B$1.3B$1.4B$1.4B$1.3B$1.4B
Equity securities$603M$512M$529M$570M$492M$488M
Reinsurance recoverables$7.1B$7.2B$7.1B$7.1B$7.2B$7.1B
Intangible assets, net$637M$619M$602M$584M$566M$549M
Investments - Amortized Cost Basis$44.5B$45.8B$45.9B$46.1B$46.9B$46.9B
Long-term investments$59.2B$60.1B$60.9B$62.6B$64B$63.7B
Mortgage servicing rights$0$0$0$0$0$0
Deferred tax assets$1.2B$1.1B$1.1B$866M$901M$922M
Fixed maturities, at fair value using the fair value option ("FVO Securities")$308M$280M$181M$191M$168M$130M
Investments$59.2B$60.1B$60.9B$62.6B$64B$63.7B
Other Assets$2B$2.1B$2.4B$2.4B$2.2B$2.4B
Other Intangible Assets Net$637M$619M$602M$584M$566M$549M
Securities For Reverse Repurchase Agreements$0$51M$87M$87M
Fair value of servicing rights$0$0$0$0$0$0
Other Investments$226M$227M$198M$206M$262M$305M
Other non-current assets$2B$2.1B$2.4B$2.4B$2.2B$2.4B
Property and equipment, net$888M$909M$906M$925M$931M$923M
Total assets$80.9B$82.3B$83.6B$85B$86B$86.3B
Variable Interest Entity - Maximum Exposure to Loss$3.2B$3.4B$3.6B$3.8B$4B$4.1B

Other

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Aggregate Notional Principal Outstanding$7.1B$6.8B$7.4B$5.8B$6.3B$8.5B
Aggregate Fair Value of Additional Collateral Required$0$0$0$0
Additional Collateral Required - One Notch Downgrade$0$0$0$0
Components3648.003135.002780.003294.00
Cumulative Cost Basis$44.5B$45.8B$45.9B$46.1B$46.9B$46.9B
Derivative Notional Amount$7.1B$6.8B$7.4B$5.8B$6.3B$8.5B
Fair Value Measurement Disclosure$43M$36M$63M$62M$60M$43M
Gross Assets/Liabilities$12M$5M$43M$32M$20M$27M
Assets held by insurance regulators$2.4B$2.5B$2.5B$2.5B$2.6B$2.5B
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax$2.2B$1.9B$1.8B$1.5B$1.4B$1.6B
Gross Unrealized Gains$272M$351M$466M$618M$610M$364M
Total$44.5B$45.8B$45.9B$46.1B$46.9B$46.9B
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year 5 Through 10$7.7B$8.4B$8.2B$8.6B$9B$8.9B
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 5 Through 10$7.3B$8.1B$8.1B$8.6B$9.1B$8.8B
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year One Through Five$9.6B$9.6B$9.9B$9.8B$9.7B$9.9B
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year One Through Five$9.4B$9.5B$9.9B$9.9B$9.8B$9.9B
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year 10$10.2B$9.8B$10.1B$9.8B$10.1B$10.4B
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 10$9.4B$9B$9.3B$9.2B$9.5B$9.6B
Debt Securities, Available-for-Sale, Maturity, Allocated and Single Maturity Date, Amortized Cost$28.8B$29.3B$29.6B$29.6B$30.1B$30.2B
Debt Securities, Available-for-Sale, Maturity, without Single Maturity Date, Amortized Cost$15.8B$16.5B$16.3B$16.5B$16.8B$16.7B
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, Year One$1.3B$1.5B$1.5B$1.3B$1.2B$1B
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, Year One$1.3B$1.5B$1.5B$1.3B$1.2B$1B
Available for sale investments$42.6B$44.2B$44.6B$45.2B$46B$45.6B
Collateral already posted, aggregate fair value$28M$50M$49M$31M
Collateral Securities Repledged, Delivered, or Used$0$0
Common stock, par value (in dollars per share)$0$0$0$0$0$0
Common stock, shares authorized (in shares)$1.5B$1.5B$1.5B$1.5B$1.5B$1.5B
Common stock, shares issued (in shares)$327M$327M$327M$327M$327M$327M
Current Weighted Average Loan to Value Ratio of Commercial Mortgage Loan56.0%56.0%56.0%56.0%
Debt Securities, Available-for-Sale, Allowance for Credit Loss$16M$14M$14M$14M$16M$16M
Debt Securities, Available-for-Sale, Unrealized Loss Position, Number of Positions$3.6K$3.1K$2.8K$3.3K
Derecognized Assets Securitized Or Assetbacked Financing Arrangement Assets And Any Other Financial Assets Managed Together Principal Amount Outstanding$4.8B$4.8B$4.8B$4.8B$4.8B$4.8B
Derivative Asset, Subject to Master Netting Arrangement, Collateral, Obligation to Return Cash, Offset Against Derivative Asset$78M$62M$40M$49M$50M$40M
Derivative, gross, assets$88M$67M$55M$60M$60M$65M
Derivatives, gross, liabilities$43M$36M$63M$62M$60M$43M
Net fair value$45M$31M-$8M-$2M$0$22M
Derivative Liability$12M$5M$43M$32M$20M$27M
Derivative, Net Liability Position, Aggregate Fair Value$33M$57M$55M$33M
Notional$7.1B$6.8B$7.4B$5.8B$6.3B$8.5B
Fair Value Concentration Of Risk Investments$0$0$0$0$0$0
Fair Value of Securities Received as Collateral that Can be Resold or Repledged$0$0$0$0$2M$12M
Number of loans held-for-sale0.000.000.000.000.000.00
Original Weighted Average Loan to Value Ratio of Commercial Mortgage loan59.0%59.0%58.0%58.0%
Percentage of Gross Unrealized Losses Depressed Less than Twenty Percent of Cost or Amortized Cost95.0%93.0%95.0%95.0%
Preferred stock, liquidation preference, value$345M$345M$345M$345M$345M$345M
Preferred Stock, Par or Stated Value Per Share$0$0$0$0$0$0
Preferred Stock, Shares Authorized$50M$50M$50M$50M$50M$50M
Preferred Stock, Shares Issued$13.8K$13.8K$13.8K$13.8K$13.8K$13.8K
Insurance and reinsurance balances receivable, valuation allowance$117M$126M$135M$138M$142M$153M
Premiums Receivable, Gross$6.1B$6.5B$6.8B$6.7B$6.5B$6.9B
Valuation allowance for uncollectible reinsurance$75M$75M$75M$76M$69M$71M
Reinsurance Recoverables, Gross$7.2B$7.3B$7.2B$7.2B$7.3B$7.1B
Restricted assets in fixed maturities and short-term investments$3.5B$3.7B$3.7B$3.8B$3.8B$3.8B
Treasury stock, shares (in shares)$39.4M$41.9M$44.7M$47.3M$50M$52.1M
PNC Risk of Loss$3.2B$3.4B$3.6B$3.8B$4B$4.1B
Equity method investment, maximum exposure to loss$0$0$0$0$0$0
Stated Maturities$15.2B$16B$15.9B$16.2B$16.5B$16.3B
Unfunded Affordable Housing Project Commitments$267M$249M$226M$209M$259M$228M
Unfunded Equity Investment Commitments$267M$249M$226M$209M$259M$228M