Inside the research

The Hartford Insurance Group, Inc.

HIG Research profile · latest available data

Price overview

$124.23

▼ -1.46 (-1.2%)

52w hi$145.04
52w lo$120.21
Vol1.67M
As of25 Sep 2026

The Verdict

Hold

Our score -0.02

Short-0.27
Medium-0.00
Long+0.42

computed 2026-09-27

Key fundamentals

The Hartford Insurance Group, Inc.

Financial Services · Insurance - Diversified

Market cap$33.65B
Enterprise value$34.38B
Trailing P/E8.64x
Forward P/E9.08x
EV / EBITDA6.15x
P / S (ttm)1.15x
Profit margin14.9%
Return on equity22.1%
Revenue growth+8.1%
Earnings growth+36.1%
Debt / equity22.33

Layer Breakdown

LayerRawContribution
Fundamental+0.41
Sector+0.02
Technical-0.16
Earnings+0.00
Sentiment-0.03

macro × 1.00 · 2026-09-27

Business overview

The Hartford Insurance Group, Inc., together with its subsidiaries, provides insurance and financial services to individual and business customers in the United States, the United Kingdom, and internationally. It operates through Business Insurance, Personal Insurance, Property & Casualty Other Operations, Employee Benefits and Hartford Funds. The company offers insurance coverage, including workers' compensation, property, automobile, general and professional liability, package business, umbrella, fidelity and surety, marine, livestock, accident, health, and reinsurance through regional offices, branches, sales and policyholder service centers, independent retail agents and brokers, wholesale agents, and reinsurance brokers. The company also provides automobiles, homeowners, and personal umbrella coverages. The Property & Casualty Other Operations segment offers coverage for asbestos and environmental exposures. In addition, it provides group life, disability, and other group coverages to members of employer groups, associations, and affinity groups through direct insurance policies; reinsurance to other insurance companies; employer paid and voluntary product coverages; disability underwriting, administration, and claims processing to self-funded employer plans; leave management solution; distributes its group insurance products and services through brokers, consultants, third-party administrators, trade associations, and private exchanges. Further, the company offers managed mutual funds across various asset classes; and exchange-traded funds through broker-dealer organizations, independent financial advisers, defined contribution plans, financial consultants, bank trust, and registered investment advisers, as well as investment management, distribution, and administrative services, such as product design, implementation, and oversight. The company was founded in 1810 and is headquartered in Hartford, Connecticut.

United States · www.thehartford.com

Risk Metrics

Beta vs SPX0.40
Corr SPX0.30
Annual vol21.1%
Annual ret+5.5%
Sharpe0.26
Max DD-14.7%

Window: 504 trading days (504 obs)

Analyst Coverage

Mean PT$149.40
High / Low$165.00 / $135.00
Median$149.00
Analysts20
Strong Buy3
Buy7
Hold13
Sell0
Strong Sell0

Recent rating actions

2026-04-28Mizuho→ Outperform
2026-04-27UBS→ Buy
2026-04-24Barclays→ Overweight
2026-04-14B of A Securities→ Neutral
2026-04-09Wells Fargo→ Overweight
2026-04-09Cantor Fitzgerald→ Overweight

Material Events

DateEvent8-K
2026-08-11Officer / Director Change, Reg FD Disclosureread
2026-07-23Earnings Release, Exhibitsread
2026-07-15Officer / Director Changeread
2026-06-03Other Material Event, Exhibitsread
2026-05-21Shareholder Vote, Exhibitsread
2026-04-23Earnings Release, Exhibitsread
2026-01-29Earnings Release, Exhibitsread
2025-12-12Exhibitsread
2025-10-27Earnings Release, Exhibitsread
2025-09-25Material Agreement, Material Obligationread
2025-08-01Exhibitsread
2025-07-28Earnings Release, Exhibitsread

Dividends

Yield (TTM)0.97%
$ / share (TTM)$1.20
5y CAGR+10.7%

Annual dividend per share

2021$1.43
2022$1.58
2023$1.74
2024$1.93
2025$2.16
2026$0.60

SEC Filings

DateFormDoc
2026-08-118-Kview
2026-08-114view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-294view
2026-07-2310-Qview
2026-07-238-Kview
2026-07-158-Kview

The Long Run

FY 2009–2025 · 13 years

LineLatestCAGRTrend
Revenue$1.51B-21.1%
Net income$3.11B+0.5%
Cash from ops$4.22B+3.0%

Indices

S&P 500

Recent Sessions

DateOpenHighLowCloseVol
Sep 25$125.46$125.90$124.09$124.231.67M
Sep 24$127.08$127.79$125.52$125.691.39M
Sep 23$128.06$129.69$126.47$126.591.76M
Sep 22$130.63$130.73$128.59$128.731.72M
Sep 21$131.69$132.37$130.72$130.731.67M

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