The Hanover Insurance Group, Inc.

NYSE:THG

166.24 (USD) • At close May 8, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 42633.5116420358.7425.1391186.2155.1331.528225146.131.5153.2197.220.6253.1170.3-325.2125.386.9-274.8-3.1199.9345.1201.2192.6181.9146
Afschrijvingen & Amortisatie 1.514.212.916.918.221.624.630.130.730.233.53535.626.716.711.815.118.921.431.638.235.820.62322.834.221.931.644.70
Uitgestelde Inkomstenbelasting -18.80-46.525-2312.5-23.439.8-13.253.168.674.9-43-9.25231.953.788.465-1.82.5-2-228.1-63.11.518.8-16.413.9-15.7-37
Aandelen Gebaseerde Vergoedingen 3131.12922.920.117.413.412.31212.315.112.412.81211.311.711.615.5000000000000
Verandering in Werkkapitaal 283.7272.1561.3620351.2237.4248.3473.6462.953.718128.1359.3166.3-131.9-136.1-59.1-292.4-372.5-131.7-292.6-936.2-3.81,057.5-169-414-80.4-413-211.842.8
Vorderingen 0-201.9-173.9-156.3-144-257.8-322-443.6-64-79.5-68.241.4021.3-204.9-14.17500-290.60.298.719.220.6-127.3-194-58.719107-117.6
Voorraden 000000000000000000000000000000
Crediteuren 00000000000000000-232.8-385.1158-261.9-563.2-196.5611.8172.428.7168.1-134.7-184.3116.2
Overig Werkkapitaal 283.7474735.2776.3495.2495.2570.3917.2526.9133.2249.2-13.3359.314573-122-134.1-59.612.60.9-30.9-471.7173.5425.1-214.1-248.7-189.8-297.3-134.544.2
Overige Niet-Contante Posten 8310.849.6-281.1-17.6-111.1-102.6-37.495.9-36.1-15.5-17.5-2.6-5.6-17.7-24.9167.6-10.2157.6580.2269641.2529.9-416.7103.831.1-88.41.7156.9-23.1
Kasstroom uit Operationele Activiteiten 806.4361.7722.3823.7707.6602.9551.3704.6743.4444.7564.7383.9408.2221.783.691.6209.573.341.8153.1142.4-174.343.8597.615915.237.9-173.2156128.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10.2-11.9-17.8-8-14.9-13.3-13.1-18.6-15.7-19.5-11.2-22.9-21.3-1,704.5-10.9-10.4-9.5-9.5-8.8-8.3-7.8-5.4-13.1-32.1-13.7-30.1-0.7-15.3-12.8-14.1
Netto Overnames 0216.6489.88034.7635.706.944.3005.2287.7-13.3-24.1-114.1050.9121.3000000-208.9-425.600
Aankoop van Beleggingen -72-1,130.6-2,084.5-2,302.9-2,084.2-1,920.5-1,603.9-1,868.4-2,372.1-2,221-2,089.8-1,947.9-2,445.3-1,816.6-1,586.4-2,413.6-1,030-1,261.4-1,920.9-2,089.8-2,116.3-2,497.1-3,454.4-4,740.1-4,011.3-2,746.9-3,174.4-2,969.6-4,090.3-3,552.1
Verkoop/verval van Beleggingen 115.59141,594.71,850.71,490.31,587.21,252.61,390.21,873.42,025.81,498.31,612.11,9031,728.21,499.82,233.21,136.21,213.81,987.12,788.32,165.23,038.45,310.34,030.330.3993,452.22,761.83,529.74,523.43,170.2
Overige Investeringsactiviteiten -574.2-216.6-489.8-8000-9.512.1-1.120-4.41,6881240.7206.6-15.2-10.400.2-181.6-374.2-237.93,109.401119.75.11.34.3267.9
Kasstroom uit Investeringsactiviteiten -540.9-228.5-507.6-460.2-608.8-311.9271.3-506.3-495.4-171.5-600.7-358.7-562.8182.8-98.8-174.2189.2-72.397.9811.541.3354.31,468.6-979.8-885.2794.9-617.1120.5424.6-128.1
Financieringsactiviteiten:
Schuldaflossingen 0000120.6-151.1-11.60-104.7-114.3-0.728.7-65.7238.6161.352.2-50.6-101-19.6-91.600-83.326.711.6-176.3188.3-5.47.2-1.6
Uitgifte van Gewone Aandelen 06.500000000000000002458.64.30.31.15.30.61.111.42.842248
Terugkoop van Gewone Aandelen -26.70-30.8-162.6-212.8-563.6-57.7-37.2-105.6-127.3-20.4-78.2-20-21.7-134.7-148.1-58.5-1.6-200.200000-80.8-244-82.70-42-20.9
Uitgekeerde Dividenden -124.1-117.2-108.9-102.2-99.5-386.2-94.3-86.8-80.4-74.2-67-60-55.1-50.9-47.2-37.5-23-20.8-15.4-13.4000-13.3-13.4-13.5-9.9-13.7-13.9-4.1
Overige Financieringsactiviteiten 5.3-4.9-0.911.6-2.21.6-7.412.3-10.131.416.447.4-38.7123.2-12.525.1-478.3-653.2-479.6-189.6-1,390.6432.6645.2-472.3791.6105.6-636.4-472.2
Kasstroom uit Financieringsactiviteiten -145.5-122.1-140.6-253.2-193.9-1,099.3-171-111.7-300.8-301-71.7-105.5-133.4127.3-8.6-130.2-144.6-98.3-468.5-749.6-475.3-189.3-1,472.8451.3563.2-905898.789.3-685.1-250.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000003.3-47.2-3.4-6.7-5.21.632.1-3.9-2.3131.6-47.800000000-13.215.70-6.5-0.6
Netto Kasstroomverandering 119.411.174.1110.3-95.1-805722.8150.6-56.2-34.5-112.9-78.6-255.6530-26.1-81.2187.1-97.3-328.8215-291.6-9.339.669.1-163-108.1335.236.6-111-250.8
Kaspositie aan het Einde van de Periode 435.5316.1305230.9120.6215.71,020.7297.9282.6338.8373.3486.2564.8820.4290.4316.5397.7210.6372.7701.5486.5380.5389.8350.2279.2442.2550.3215.1178.5288.9