HARTFORD INSURANCE GROUP, INC.
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Income Statement
| Metric | Q2 2025 | Q2 2024 | YoY |
|---|---|---|---|
| Premiums Earned Net | 5,961 | 5,578 | +6.9% |
| Insurance Commissions And Fees | 342 | 339 | +0.9% |
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| Administrative services · Employee Benefits [Member] | 57 | 57 | 0.0% |
| Advisor, distribution and other management fees · Hartford Funds [Member] | 256 | 253 | +1.2% |
| Installment billing fees [Member] · P&C Business Insurance | 11 | 11 | 0.0% |
| Installment billing fees [Member] · P&C Personal Insurance | 8 | 8 | 0.0% |
| Investment management and other fees · Corporate Non Segment | 10 | 10 | 0.0% |
| Net Investment Income | 664 | 602 | +10.3% |
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| Employee Benefits [Member] · Operating Segments | 118 | 112 | +5.4% |
| Hartford Funds [Member] · Operating Segments | 6 | 5 | +20.0% |
| P&C Business Insurance · Operating Segments | 449 | 402 | +11.7% |
| P&C Personal Insurance · Operating Segments | 58 | 50 | +16.0% |
| Property & Casualty Other Operations [Member] · Operating Segments | 19 | 19 | 0.0% |
Show Equity Components breakouts |
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| Accumulated Gain Loss Net Cash Flow Hedge Parent · Currency Swap | 2 | 3 | -33.3% |
| Accumulated Gain Loss Net Cash Flow Hedge Parent · Interest Rate Swap | -2 | -8 | +75.0% |
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| Corporate Non Segment | 14 | 14 | 0.0% |
| Operating Segments | 650 | 588 | +10.5% |
| Realized Investment Gains Losses | -10 | -59 | +83.1% |
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| Employee Benefits [Member] · Operating Segments | -16 | -9 | -77.8% |
| Hartford Funds [Member] · Operating Segments | 9 | 3 | +200.0% |
| P&C Business Insurance · Operating Segments | -20 | -50 | +60.0% |
| P&C Personal Insurance · Operating Segments | -4 | -8 | +50.0% |
| Property & Casualty Other Operations [Member] · Operating Segments | -2 | -3 | +33.3% |
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| Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income | -26 | -70 | +62.9% |
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| Corporate Non Segment | 23 | 8 | +187.5% |
| Operating Segments | -33 | -67 | +50.7% |
| Other Income | 30 | 26 | +15.4% |
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| Insurance servicing revenues · P&C Personal Insurance | 24 | 25 | -4.0% |
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| P&C Business Insurance · Operating Segments | 1 | — | — |
| P&C Personal Insurance · Operating Segments | 24 | 25 | -4.0% |
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| Corporate Non Segment | 5 | 1 | +400.0% |
| Operating Segments | 25 | 25 | 0.0% |
| Revenue | 6,987 | 6,486 | +7.7% |
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| Employee Benefits [Member] · Operating Segments | 1,765 | 1,768 | -0.2% |
| Hartford Funds [Member] · Operating Segments | 271 | 261 | +3.8% |
| P&C Business Insurance · Operating Segments | 3,865 | 3,484 | +10.9% |
| P&C Personal Insurance · Operating Segments | 1,017 | 924 | +10.1% |
| Property & Casualty Other Operations [Member] · Operating Segments | 17 | 16 | +6.2% |
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| Corporate Non Segment | 52 | 33 | +57.6% |
| Operating Segments | 6,935 | 6,453 | +7.5% |
| Policyholder Benefits And Claims Incurred Net | 3,712 | 3,661 | +1.4% |
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| Disability Insurance Policy · Employee Benefits [Member] | 617 | 601 | +2.7% |
| Life Insurance Segment · Employee Benefits [Member] | 478 | 497 | -3.8% |
| Other Insurance Product Line · Employee Benefits [Member] | 55 | 49 | +12.2% |
| Deferred Policy Acquisition Cost Amortization Expense | 625 | 561 | +11.4% |
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| Employee Benefits [Member] · Operating Segments | 9 | 9 | 0.0% |
| P&C Business Insurance · Operating Segments | 546 | 489 | +11.7% |
| P&C Personal Insurance · Operating Segments | 70 | 63 | +11.1% |
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| Operating Segments | 625 | 561 | +11.4% |
| Selling, General & Administrative | 1,337 | 1,285 | +4.0% |
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| Employee Benefits [Member] · Operating Segments | 407 | 387 | +5.2% |
| P&C Business Insurance · Operating Segments | 507 | 484 | +4.8% |
| P&C Personal Insurance · Operating Segments | 172 | 169 | +1.8% |
| Property & Casualty Other Operations [Member] · Operating Segments | 2 | 2 | 0.0% |
| Interest Expense | 50 | 50 | 0.0% |
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| Accumulated Gain Loss Net Cash Flow Hedge Parent · Interest Rate Swap | 3 | 5 | -40.0% |
| Amortization Of Intangible Assets | 17 | 17 | 0.0% |
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| Employee Benefits [Member] · Operating Segments | 10 | 10 | 0.0% |
| P&C Business Insurance · Operating Segments | 7 | 7 | 0.0% |
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| Operating Segments | 17 | 17 | 0.0% |
| Benefits Losses And Expenses | 5,741 | 5,574 | +3.0% |
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| Employee Benefits [Member] · Operating Segments | 1,576 | 1,553 | +1.5% |
| Hartford Funds [Member] · Operating Segments | 203 | 203 | 0.0% |
| P&C Business Insurance · Operating Segments | 2,991 | 2,813 | +6.3% |
| P&C Personal Insurance · Operating Segments | 884 | 920 | -3.9% |
| Property & Casualty Other Operations [Member] · Operating Segments | 2 | 2 | 0.0% |
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| Corporate Non Segment | 64 | 63 | +1.6% |
| Operating Segments | 5,656 | 5,491 | +3.0% |
| Income Before Taxes | 1,246 | 912 | +36.6% |
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| Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income | -9 | -9 | 0.0% |
| Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income | 3 | — | — |
| Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income | -26 | -70 | +62.9% |
| Income Tax Expense (Benefit) | 251 | 174 | +44.3% |
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| Employee Benefits [Member] · Operating Segments | 39 | 44 | -11.4% |
| Hartford Funds [Member] · Operating Segments | 14 | 14 | 0.0% |
| P&C Business Insurance · Operating Segments | 176 | 130 | +35.4% |
| P&C Personal Insurance · Operating Segments | 23 | -4 | +675.0% |
| Property & Casualty Other Operations [Member] · Operating Segments | 2 | 3 | -33.3% |
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| Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income | -2 | -2 | 0.0% |
| Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income | -5 | -15 | +66.7% |
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| Corporate Non Segment | -3 | -13 | +76.9% |
| Operating Segments | 254 | 187 | +35.8% |
| Net Income | 995 | 738 | +34.8% |
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| Employee Benefits [Member] · Operating Segments | 150 | 171 | -12.3% |
| Hartford Funds [Member] · Operating Segments | 54 | 44 | +22.7% |
| P&C Business Insurance · Operating Segments | 696 | 540 | +28.9% |
| P&C Personal Insurance · Operating Segments | 91 | -11 | +927.3% |
| Property & Casualty Other Operations [Member] · Operating Segments | 13 | 11 | +18.2% |
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| Accumulated Defined Benefit Plans Adjustment · Reclassification Out Of Accumulated Other Comprehensive Income | -7 | -7 | 0.0% |
| Accumulated Gain Loss Net Cash Flow Hedge Parent · Reclassification Out Of Accumulated Other Comprehensive Income | 3 | — | — |
| Accumulated Net Unrealized Investment Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income | -21 | -55 | +61.8% |
| Retained Earnings | 995 | 738 | +34.8% |
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| Corporate Non Segment | -9 | -17 | +47.1% |
| Operating Segments | 1,004 | 755 | +33.0% |
Show Reclassification Out Of Accumulated Other Comprehensive Income breakouts |
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| Reclassification Out Of Accumulated Other Comprehensive Income | -25 | -62 | +59.7% |
| Preferred Stock Dividends Income Statement Impact | 5 | 5 | 0.0% |
| Net Income Loss Available To Common Stockholders Basic | 990 | 733 | +35.1% |
| EPS (Basic) | 3.49 | 2.48 | +40.7% |
| EPS (Diluted) | 3.44 | 2.44 | +41.0% |
| Revenue | 366 | 364 | +0.5% |
| Operating Expenses (Q) | — | — | — |
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| Accumulated Defined Benefit Plans Adjustment Net Prior Service Cost Credit · Reclassification Out Of Accumulated Other Comprehensive Income | 1 | 1 | 0.0% |
| Accumulated Defined Benefit Plans Adjustment Net Unamortized Gain Loss · Reclassification Out Of Accumulated Other Comprehensive Income | -10 | -10 | 0.0% |
| Comprehensive Income | 1,191 | 667 | +78.6% |
| Other Comprehensive Income | 196 | -71 | +376.1% |
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| Accumulated Defined Benefit Plans Adjustment | 6 | 6 | 0.0% |
| Accumulated Gain Loss Net Cash Flow Hedge Parent | -34 | 9 | -477.8% |
| Accumulated Net Unrealized Investment Gain Loss | 208 | -90 | +331.1% |
| Accumulated Other Comprehensive Income | 196 | -71 | +376.1% |
| Accumulated Translation Adjustment | 16 | -1 | +1700.0% |
| Aoci Gain Loss Debt Securities Available For Sale With Allowance For Credit Loss Parent | 1 | — | — |
| Aoci Liability For Future Policy Benefit Parent | -1 | 5 | -120.0% |
| Wtd Avg Shares (Basic) | 283.7 | 295.5 | -4.0% |
| Wtd Avg Shares (Diluted) | 287.7 | 299.9 | -4.1% |
Balance Sheet
| Metric | Q2 2025 | Q2 2024 | YoY |
|---|---|---|---|
| Non-Current Assets | |||
| Deferred Tax Assets | 1,094 | 1,234 | -11.3% |
| Goodwill | 1,911 | 1,911 | 0.0% |
| Property, Plant & Equipment | 906 | 878 | +3.2% |
| Total Assets | 83,639 | — | — |
Show Business Segments breakouts |
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| Employee Benefits [Member] · Operating Segments | 13,289 | — | — |
| Hartford Funds [Member] · Operating Segments | 755 | — | — |
| P&C Business Insurance · Operating Segments | 55,682 | — | — |
| P&C Personal Insurance · Operating Segments | 6,453 | — | — |
| Property & Casualty Other Operations [Member] · Operating Segments | 4,237 | — | — |
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| Corporate Non Segment | 3,223 | — | — |
| Operating Segments | 80,416 | — | — |
| Other Assets | |||
| Equity Securities Fv Ni | 529 | 591 | -10.5% |
Show Fair Value Hierarchy breakouts |
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| Fair Value Inputs Level1 | 390 | 325 | +20.0% |
| Fair Value Inputs Level2 | 46 | 208 | -77.9% |
| Fair Value Inputs Level3 | 93 | 58 | +60.3% |
| Notes Receivable Net | 6,463 | 6,357 | +1.7% |
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| Fair Value Inputs Level3 · Carrying Reported Amount Fair Value Disclosure | 6,463 | 6,357 | +1.7% |
| Fair Value Inputs Level3 · Estimate Of Fair Value Fair Value Disclosure | 6,166 | 5,800 | +6.3% |
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| Commercial Loan | 6,463 | 6,357 | +1.7% |
| Alternative Investment | 5,325 | 4,905 | +8.6% |
| Other Investments | 198 | 250 | -20.8% |
| Other Short Term Investments | 3,649 | 3,701 | -1.4% |
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| Fair Value Inputs Level1 | 604 | 779 | -22.5% |
| Fair Value Inputs Level2 | 2,929 | 2,897 | +1.1% |
| Fair Value Inputs Level3 | 116 | 25 | +364.0% |
| Fair Value Inputs Level3 · Short Term Investments | 116 | 16 | +625.0% |
| Investments | 60,903 | 56,890 | +7.1% |
| Cash | 166 | 154 | +7.8% |
| Restricted Cash | 53 | 56 | -5.4% |
| Accrued Investment Income Receivable | 465 | 429 | +8.4% |
| Premiums Receivable At Carrying Value | 6,698 | 6,335 | +5.7% |
| Reinsurance Recoverables | 7,100 | 7,059 | +0.6% |
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| Group Policies · Operating Segments | 292 | 273 | +7.0% |
| Property Liability And Casualty Insurance Segment · Operating Segments | 6,591 | 6,552 | +0.6% |
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| Corporate Non Segment | 217 | 234 | -7.3% |
| Deferred Policy Acquisition Costs And Value Of Business Acquired | 1,362 | 1,245 | +9.4% |
| Other Intangible Assets Net | 602 | 672 | -10.4% |
| Other Assets | 2,379 | — | — |
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| Variable Interest Entity Not Primary Beneficiary | 84 | — | — |
| Non-Current Liabilities | |||
| Long-Term Debt | 4,369 | 4,364 | +0.1% |
| Total Liabilities | 66,121 | 63,366 | +4.3% |
| Other Liabilities | |||
| Available For Sale Securities Debt Securities | 44,558 | 40,814 | +9.2% |
Show Fair Value Hierarchy breakouts |
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| Fair Value Inputs Level1 | 115 | — | — |
| Fair Value Inputs Level1 · US Treasury Securities | 115 | — | — |
| Fair Value Inputs Level2 | 41,398 | 38,015 | +8.9% |
| Fair Value Inputs Level2 · Asset Backed Securities | 4,284 | 3,006 | +42.5% |
| Fair Value Inputs Level2 · Collateralized Loan Obligations | 3,323 | 3,014 | +10.3% |
| Fair Value Inputs Level2 · Commercial Mortgage Backed Securities | 2,448 | 2,752 | -11.0% |
| Fair Value Inputs Level2 · Corporate Debt Securities | 19,791 | 17,432 | +13.5% |
| Fair Value Inputs Level2 · Foreign Government Debt Securities | 455 | 546 | -16.7% |
| Fair Value Inputs Level2 · Municipal Bonds | 4,650 | 5,294 | -12.2% |
| Fair Value Inputs Level2 · Residential Mortgage Backed Securities | 5,501 | 4,747 | +15.9% |
| Fair Value Inputs Level2 · US Treasury Securities | 946 | 1,224 | -22.7% |
| Fair Value Inputs Level3 | 3,045 | 2,799 | +8.8% |
| Fair Value Inputs Level3 · Asset Backed Securities | 92 | 8 | +1050.0% |
| Fair Value Inputs Level3 · Asset Backed Securities | 84 | — | — |
| Fair Value Inputs Level3 · Collateralized Loan Obligations | 55 | 97 | -43.3% |
| Fair Value Inputs Level3 · Collateralized Loan Obligations | 70 | 500 | -86.0% |
| Fair Value Inputs Level3 · Commercial Mortgage Backed Securities | 136 | 188 | -27.7% |
| Fair Value Inputs Level3 · Commercial Mortgage Backed Securities | 137 | 190 | -27.9% |
| Fair Value Inputs Level3 · Corporate Debt Securities | 2,620 | 1,945 | +34.7% |
| Fair Value Inputs Level3 · Corporate Debt Securities | 2,734 | 2,061 | +32.7% |
| Fair Value Inputs Level3 · Residential Mortgage Backed Securities | 12 | 27 | -55.6% |
| Fair Value Inputs Level3 · Residential Mortgage Backed Securities | 12 | 40 | -70.0% |
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| Asset Backed Securities | 4,376 | 3,014 | +45.2% |
| Collateralized Loan Obligations | 3,393 | 3,514 | -3.4% |
| Commercial Mortgage Backed Securities | 2,585 | 2,942 | -12.1% |
| Corporate Debt Securities | 22,525 | 19,493 | +15.6% |
| Foreign Government Debt Securities | 455 | 546 | -16.7% |
| Municipal Bonds | 4,650 | 5,294 | -12.2% |
| Residential Mortgage Backed Securities | 5,513 | 4,787 | +15.2% |
| US Treasury Securities | 1,061 | 1,224 | -13.3% |
| Liability For Claims And Claims Adjustment Expense | 45,482 | — | — |
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| General Liability · Abuse Claims | 787 | — | — |
| Group Policies | 8,124 | 8,186 | -0.8% |
| Property Liability And Casualty Insurance Segment | 37,358 | 35,137 | +6.3% |
| Liability For Future Policy Benefits | 443 | 464 | -4.5% |
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| Deferred Profit Liability | 19 | 20 | -5.0% |
| Fixed Annuity | 124 | 129 | -3.9% |
| Life Conversions | 61 | 60 | +1.7% |
| Other Longduration Insurance Product Line | 76 | 83 | -8.4% |
| Paid Up Life | 163 | 172 | -5.2% |
| Policyholder Funds | 612 | 622 | -1.6% |
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| Other Shortduration Insurance Product Line | 411 | 412 | -0.2% |
| Universal Life | 201 | 210 | -4.3% |
| Universal Life · Policyholder Account Balance At Guaranteed Minimum Crediting Rate | 199 | 209 | -4.8% |
Show Fair Value Hierarchy breakouts |
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| Fair Value Inputs Level3 · Carrying Reported Amount Fair Value Disclosure | 612 | 622 | -1.6% |
| Fair Value Inputs Level3 · Estimate Of Fair Value Fair Value Disclosure | 612 | 622 | -1.6% |
| Unearned Premiums | 10,337 | 9,521 | +8.6% |
| Other Liabilities | 4,878 | 5,072 | -3.8% |
| Stockholders' Equity | |||
| Preferred Stock Value Outstanding | 334 | 334 | 0.0% |
| Common Stock | 3 | 3 | 0.0% |
| Additional Paid-In Capital | 527 | 558 | -5.6% |
| Retained Earnings | 22,850 | 20,209 | +13.1% |
| Treasury Stock Value | -3,812 | -2,356 | -61.8% |
| Accumulated Other Comprehensive Income | -2,384 | -3,068 | +22.3% |
| Total Stockholders' Equity | 17,518 | 15,680 | +11.7% |
Show Equity Components breakouts |
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| Accumulated Defined Benefit Plans Adjustment | -1,430 | -1,429 | -0.1% |
| Accumulated Gain Loss Net Cash Flow Hedge Parent | 6 | 30 | -80.0% |
| Accumulated Net Unrealized Investment Gain Loss | -1,029 | -1,732 | +40.6% |
| Accumulated Other Comprehensive Income | -2,384 | -3,068 | +22.3% |
| Accumulated Translation Adjustment | 45 | 35 | +28.6% |
| Additional Paid In Capital | 527 | 558 | -5.6% |
| Aoci Gain Loss Debt Securities Available For Sale With Allowance For Credit Loss Parent | -5 | -7 | +28.6% |
| Aoci Liability For Future Policy Benefit Parent | 29 | 35 | -17.1% |
| Common Stock | 3 | 3 | 0.0% |
| Preferred Stock | 334 | 334 | 0.0% |
| Retained Earnings | 22,850 | 20,209 | +13.1% |
| Treasury Stock Common | -3,812 | -2,356 | -61.8% |
| Total Liabilities & Equity | 83,639 | 79,046 | +5.8% |
| Fair Value Option Fixed Maturity Securities | 181 | 272 | -33.5% |
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| Fair Value Inputs Level3 | 181 | 160 | +13.1% |
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| Collateralized Loan Obligations | 181 | 160 | +13.1% |
Cash Flow Statement
| Metric | YTD Q2 2025 | YTD Q2 2024 | YoY |
|---|---|---|---|
| Operating Activities | |||
| Gain Loss On Investments | 59 | 31 | +90.3% |
| Deferred Policy Acquisition Costs And Present Value Of Future Profits Amortization1 | 1,232 | 1,106 | +11.4% |
| Increase Decrease In Deferred Policy Acquisition Costs | -1,355 | -1,238 | -9.5% |
| Depreciation Amortization And Accretion Net | 186 | 187 | -0.5% |
| Other Operating Activities Cash Flow Statement | 169 | 198 | -14.6% |
| Increase Decrease In Reinsurance Recoverable | 32 | 37 | -13.5% |
| Increase Decrease In Deferred Income Taxes | -181 | -155 | -16.8% |
| Increase Decrease In Insurance Liabilities | 1,784 | 1,907 | -6.4% |
| Increase Decrease In Premiums Receivable | -752 | -761 | +1.2% |
| Increase Decrease In Other Operating Capital Net | -523 | -446 | -17.3% |
| Net Cash from Operations | 2,276 | 2,357 | -3.4% |
| Investing Activities | |||
| Proceeds From Sale Of Available For Sale Securities Debt | 4,755 | 5,151 | -7.7% |
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| Debt Securities | 2.7 | 2.7 | 0.0% |
| Proceeds From Sale And Maturity Of Fair Value Option Fixed Maturity Securties | 109 | 50 | +118.0% |
| Proceeds From Sale And Maturity Of Marketable Securities | 125 | 304 | -58.9% |
| Proceeds From Sale And Collection Of Mortgage Notes Receivable | 733 | 411 | +78.3% |
| Proceeds From Limited Partnership Investments | 115 | 101 | +13.9% |
| Purchases of Investments | -6,090 | -6,498 | +6.3% |
| Payments For The Purchase Of Fair Value Option Fixed Maturity Securties | -8 | — | — |
| Payments To Acquire Marketable Securities | -16 | -9 | -77.8% |
| Payments To Acquire Mortgage Notes Receivable | -793 | -669 | -18.5% |
| Payments To Acquire Limited Partnership Interests | -445 | -314 | -41.7% |
| Payments For Proceeds From Derivative Instrument Investing Activities | 22 | -2 | +1200.0% |
| Capital Expenditures | -78 | -111 | +29.7% |
| Payments For Proceeds From Short Term Investments | 524 | 258 | +103.1% |
| Other Investing Activities | -53 | 1 | -5400.0% |
| Net Cash from Investing | -1,144 | -1,323 | +13.5% |
| Financing Activities | |||
| Additions To Contract Holders Funds | 63 | 64 | -1.6% |
| Withdrawal From Contract Holders Funds | -57 | -73 | +21.9% |
| Proceeds Payments Issuance Return Of Shares Under Incentive And Share Based Compensation Plans | -33 | -9 | -266.7% |
| Share Repurchases | -815 | -700 | -16.4% |
| Payments Of Dividends Preferred Stock And Preference Stock | -10 | -10 | 0.0% |
| Payments Of Dividends Common Stock | -299 | -281 | -6.4% |
| Net Cash from Financing | -1,151 | -1,009 | -14.1% |
| Supplemental | |||
| Income Taxes Paid | 524 | 457 | +14.7% |
| Interest Paid | 103 | 106 | -2.8% |
| Other Cash Flow | |||
| Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Including Disposal Group And Discontinued Operations | 4 | -4 | +200.0% |
| Net Change in Cash | -15 | 21 | -171.4% |
| Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents | 219 | 210 | +4.3% |
Values in millions USD. Source: SEC EDGAR 10-Q filing.