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The Hanover Insurance Group THG New England — Other Investments

Other geography segments

South Atlantic
$75.1M-8.6%
Pacific
$63.5M-23.2%
Mid Atlantic
$28.7M-32.6%
West South Central
$22.3M-2.2%
Other Locations
$16.9M+1.8%
West North Central
$8.9M

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Other financials

Income statement

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Revenue$1.7B+4.3%
Operating income$251.9M+20.0%
Net income$191.6M+22.0%
EPS (diluted)$5.38+25.1%

Balance sheet

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Cash & equivalents$266.1M+9.0%
Total debt$844.0M+7.6%
Total equity$3.7B+14.2%
Total assets$16.9B+7.2%

Cash flow

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Operating cash flow$212.3M+2.8%
CapEx$2.9M+70.6%
Free cash flow$209.4M+2.2%

Valuation

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Market cap$8.06B+29.8%
Enterprise value$8.64B+28.0%
P/E10.7×-0.5×
P/S1.2×+0.2×

Profitability

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Operating margin14.2%
Net margin11.2%+2.5pp
FCF margin18.5%+5.3pp

Returns & leverage

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Return on equity21.9%+2.7pp
Debt / equity0.2×0.0×

Where this comes from

Reported directly by The Hanover Insurance Group in its filing.

Tagged under the XBRL concept us-gaap:OtherInvestments.

The source filing: The Hanover Insurance Group’s 10-K, filed February 20, 2026.

Filed
Feb 20, 2026, 1:43 PM EST
Fiscal year
FY2025
Accession
0001193125-26-060983
DECEMBER 3120252024
Geographic Region:
South Atlantic$75.1$82.2
Pacific63.582.7
New England39.740.6
Mid Atlantic28.742.6
West South Central22.322.8
West North Central8.99.1
Other16.930.6

ITEM 8 – FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA

FAQ

What is The Hanover Insurance Group's new england — other investments?
The Hanover Insurance Group (THG) reported new england — other investments of $39.7M in Q4 2025.
How has The Hanover Insurance Group's new england — other investments changed year-over-year?
The Hanover Insurance Group's new england — other investments decreased by 2.2% year-over-year, from $40.6M to $39.7M.
What does new england — other investments mean?
This metric represents the total value of investment assets held by the company that are specifically allocated to or managed within the New England geographic segment. It captures non-core or alternative investment holdings that fall outside of standard underwriting portfolios, reflecting the company's broader capital allocation strategy in that region. Monitoring this balance helps investors assess the risk exposure and potential yield generated by the company's regional investment activities.

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