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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$4.06B+35.9%$3.84B+23.3%$3.56B+17.5%$3.25B+11.4%$2.99B+9.8%
$412M+28.3%$396M+11.2%$345M-12.9%$355M-19.1%$321M-36.8%
-$65M-$42M
$300M+13.6%$325M+54.8%
-$106M+23.2%-$100M-63.9%-$88M-23.9%-$89M+39.9%-$138M+9.8%
$2.67B+8.5%$2.62B+9.0%$2.57B+8.4%$2.53B+9.5%$2.46B+11.3%
$5.98B+3.2%$5.92B+0.2%$5.99B+5.8%$5.83B+1.3%$5.8B+29.0%
$162M$169M
$12.27B-15.0%$12.77B-8.9%$13.34B+9.8%$13.62B+22.0%$14.44B+58.9%
$10.84B-4.8%$10.35B-4.2%$10.44B+5.6%$10.41B+23.2%$11.39B+85.9%
$90M$89M
-$3.69B+1.2%-$3.76B+0.3%-$3.82B-6.7%-$3.59B+5.7%-$3.73B-54.3%
$609M+7.8%$592M+6.5%$583M+6.4%$574M+6.1%$565M+5.6%
$1.67B+6.5%$1.62B+6.7%$1.63B+12.3%$1.63B+16.4%$1.56B+11.7%
$21M0.0%$21M0.0%$21M0.0%$21M0.0%$21M0.0%
-$2.29B-6.3%-$2.24B-7.7%-$2.24B-13.1%-$2.22B-13.6%-$2.16B-11.6%
$1M-$60M
$205M-6.8%$206M-2.4%$207M-6.8%$208M-1.9%$220M+10.0%
$2.57B+9.4%$2.52B+10.3%$2.46B+10.7%$2.41B+11.6%$2.34B+11.7%
-$106M+23.2%-$100M-63.9%-$88M-23.9%-$89M+39.9%-$138M+9.8%
-$65M-$42M
$2.67B+8.5%$2.62B+9.0%$2.57B+8.4%$2.53B+9.5%$2.46B+11.3%
-$105M-191%$63M+16.7%$45M-58.7%$59M-63.1%$115M-33.5%
$90M$89M
$718M$149M$145M
$14M-75.0%$17M-67.3%$68M$60M$56M
$1.06B+55.0%$1.03B+54.4%$887M+27.8%$795M+8.2%$685M-19.3%
$2.33B+144%$2.02B+97.2%$1.54B+65.1%$1.15B+1.1%$954M-10.9%
$302M+15.3%$291M+22.3%$269M+33.8%$252M+1.2%$262M+13.4%
$1.7B+109%$1.6B+116%$1.35B+117%$1.06B+20.0%$812M-18.6%
$10.84B-4.8%$10.35B-4.2%$10.44B+5.6%$10.41B+23.2%$11.39B+85.9%
$133M+35.7%$127M+17.6%$115M+7.5%$107M-4.5%$98M-14.8%
$21M0.0%$21M0.0%$21M0.0%$21M0.0%$21M0.0%
-$5M
$125M+27.6%$116M+0.9%$108M-8.5%$99M-20.2%$98M-3.0%
$2.02B-38.9%$2.27B-25.7%$2.69B-12.4%$2.94B-2.0%$3.3B+68.7%
$5.82B+2.8%$5.75B-0.2%$5.89B+8.5%$5.72B+3.4%$5.66B+30.8%
$5.82B+2.8%$5.75B-0.2%$5.89B+8.5%$5.72B+3.4%$5.66B+30.8%

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Questions, answered.

How much cash does The Hartford Financial Services Group generate?
The Hartford Financial Services Group (HIG) generated $6.0B in operating cash flow over the trailing twelve months.
What is The Hartford Financial Services Group's free cash flow?
After $162.0M of capital expenditures, The Hartford Financial Services Group's free cash flow was $5.8B over the trailing twelve months, up 2.8% year over year.
Where does The Hartford Financial Services Group's cash flow data come from?
Every line is extracted from The Hartford Financial Services Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.