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Hanover Insurance Group Inc

THG
175.970USD
-1.740-0.98%
Handelsschluss 02/06, 16:00ETKurse um 15 Minuten verzögert
6.26BMarktkapitalisierung
9.51KGV TTM
Hier können Sie die jährlichen oder vierteljährlichen Kontostände von Hanover Insurance Group Inc einsehen, um die finanzielle Gesundheit zu bewerten, Fundamentaldaten zu analysieren und wichtige Verhältnisse wie Liquidität, Hebel und Eigenkapitalrendite zu berechnen.
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Umlaufvermögen
- Barmittel und Barmitteläquivalente
157.80%1.12B
114.40%915.70M
-27.70%244.10M
19.09%315.10M
37.77%435.50M
45.03%427.10M
101.43%337.60M
45.79%264.60M
3.64%316.10M
78.70%294.50M
14.87%167.60M
-33.27%181.50M
32.09%305.00M
-3.74%164.80M
37.12%145.90M
142.64%272.00M
91.46%230.90M
-26.05%171.20M
-41.73%106.40M
-22.10%112.10M
-44.09%120.60M
46.89%231.50M
1.56%182.60M
-14.60%143.90M
-78.87%215.70M
33.67%157.60M
-26.58%179.80M
-34.69%168.50M
171.17%1.02B
-48.11%117.90M
-22.94%244.90M
0.39%258.00M
33.19%376.40M
-28.08%227.20M
-12.11%317.80M
-36.81%257.00M
-16.59%282.60M
-17.97%315.90M
-38.05%361.60M
0.69%406.70M
-9.24%338.80M
-24.43%385.10M
-3.71%583.70M
-15.20%403.90M
-23.22%373.30M
-15.38%509.60M
-12.20%606.20M
-31.07%476.30M
-13.92%486.20M
30.35%602.20M
32.57%690.40M
9.98%691.00M
--564.80M
--462.00M
--520.80M
--628.30M
Langfristige Vermögenswerte
Goodwill und andere immaterielle Vermögenswerte
----
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
0.00%178.80M
-6.92%178.80M
-7.17%178.80M
-7.17%178.80M
-3.51%178.80M
3.73%192.10M
4.16%192.60M
4.22%192.60M
0.11%185.30M
0.00%185.20M
-0.43%184.90M
-0.65%184.80M
0.60%185.10M
0.54%185.20M
0.76%185.70M
0.76%186.00M
-0.43%184.00M
-0.54%184.20M
-0.38%184.30M
-0.16%184.60M
0.00%184.80M
0.43%185.20M
0.33%185.00M
0.00%184.90M
0.00%184.80M
-0.11%184.40M
0.00%184.40M
--184.90M
--184.80M
--184.60M
--184.40M
Summe der Vermögenswerte
10.94%16.95B
9.16%16.77B
5.78%15.73B
6.00%15.47B
4.53%15.27B
7.35%15.37B
4.83%14.87B
3.57%14.59B
4.41%14.61B
4.14%14.31B
4.31%14.19B
1.77%14.09B
-1.82%14.00B
-2.55%13.75B
-0.93%13.60B
2.97%13.85B
6.03%14.25B
5.31%14.11B
6.93%13.73B
9.53%13.45B
7.63%13.44B
6.07%13.39B
5.58%12.84B
2.45%12.28B
0.73%12.49B
-19.18%12.63B
-21.06%12.16B
-21.85%11.98B
-19.84%12.40B
1.53%15.62B
4.13%15.40B
5.82%15.33B
8.78%15.47B
7.14%15.39B
4.44%14.79B
3.30%14.49B
3.19%14.22B
2.30%14.36B
0.13%14.16B
0.73%14.03B
0.16%13.78B
0.58%14.04B
1.29%14.14B
2.07%13.93B
2.85%13.76B
3.69%13.96B
4.95%13.96B
1.49%13.64B
-0.79%13.38B
1.00%13.46B
1.43%13.31B
4.09%13.44B
--13.48B
--13.33B
--13.12B
--12.91B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
506.80%375.00M
--436.80M
--436.80M
--61.80M
--61.80M
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----
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----
----
----
----
----
----
----
----
----
----
----
--54.00M
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-Kurzfristige Verbindlichkeiten
506.80%375.00M
--436.80M
--436.80M
--61.80M
--61.80M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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--54.00M
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Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
16.75%843.30M
7.54%843.00M
-55.62%347.80M
-7.77%722.50M
-7.78%722.30M
0.11%783.90M
0.11%783.70M
0.10%783.40M
0.10%783.20M
0.10%783.00M
0.10%782.80M
0.10%782.60M
0.10%782.40M
0.10%782.20M
0.10%782.00M
0.10%781.80M
0.10%781.60M
0.13%781.40M
19.67%781.20M
19.51%781.00M
19.50%780.80M
16.86%780.40M
-0.05%652.80M
0.08%653.50M
-16.00%653.40M
-14.12%667.80M
-17.02%653.10M
-17.03%653.00M
-1.14%777.90M
-1.17%777.60M
0.05%787.10M
0.05%787.00M
0.06%786.90M
-1.39%786.80M
-1.39%786.70M
-2.09%786.60M
-2.08%786.40M
-1.83%797.90M
-4.47%797.80M
-4.53%803.40M
-11.11%803.10M
-10.03%812.80M
-7.61%835.10M
-6.90%841.50M
-0.04%903.50M
-3.76%903.40M
-3.70%903.90M
-7.59%903.90M
6.42%903.90M
2.31%938.70M
2.31%938.60M
6.54%978.10M
--849.40M
--917.50M
--917.40M
--918.10M
-Langfristige Verbindlichkeiten
16.75%843.30M
7.54%843.00M
-55.62%347.80M
-7.77%722.50M
-7.78%722.30M
0.11%783.90M
0.11%783.70M
0.10%783.40M
0.10%783.20M
0.10%783.00M
0.10%782.80M
0.10%782.60M
0.10%782.40M
0.10%782.20M
0.10%782.00M
0.10%781.80M
0.10%781.60M
0.13%781.40M
19.67%781.20M
19.51%781.00M
19.50%780.80M
16.86%780.40M
-0.05%652.80M
0.08%653.50M
-16.00%653.40M
-14.12%667.80M
-17.02%653.10M
-17.03%653.00M
-1.14%777.90M
-1.17%777.60M
0.05%787.10M
0.05%787.00M
0.06%786.90M
-1.39%786.80M
-1.39%786.70M
-2.09%786.60M
-2.08%786.40M
-1.83%797.90M
-4.47%797.80M
-4.53%803.40M
-11.11%803.10M
-10.03%812.80M
-7.61%835.10M
-6.90%841.50M
-0.04%903.50M
-3.76%903.40M
-3.70%903.90M
-7.59%903.90M
6.42%903.90M
2.31%938.70M
2.31%938.60M
6.54%978.10M
--849.40M
--917.50M
--917.40M
--918.10M
Unbezahlte Verlustrückstellung
3.94%7.76B
3.77%7.71B
2.32%7.64B
3.79%7.61B
2.09%7.46B
1.32%7.43B
2.05%7.46B
2.63%7.33B
4.21%7.31B
8.20%7.33B
10.69%7.31B
9.69%7.14B
8.76%7.01B
3.58%6.77B
4.15%6.61B
4.64%6.51B
7.03%6.45B
10.00%6.54B
8.67%6.34B
8.71%6.22B
6.54%6.02B
7.12%5.95B
6.55%5.84B
6.38%5.72B
6.60%5.65B
6.97%5.55B
-27.02%5.48B
-28.43%5.38B
-31.52%5.30B
-32.04%5.19B
4.80%7.51B
5.86%7.52B
11.45%7.75B
12.25%7.64B
5.67%7.16B
5.66%7.10B
5.70%6.95B
2.97%6.80B
2.83%6.78B
3.68%6.72B
2.86%6.57B
2.66%6.61B
2.22%6.59B
2.53%6.48B
2.57%6.39B
4.42%6.43B
6.34%6.45B
3.79%6.32B
0.56%6.23B
3.77%6.16B
3.59%6.06B
4.55%6.09B
--6.20B
--5.94B
--5.85B
--5.83B
Nicht verdiente Prämien
4.78%3.44B
5.07%3.51B
5.26%3.34B
4.97%3.26B
5.83%3.28B
4.74%3.34B
4.89%3.17B
4.57%3.10B
5.02%3.10B
7.29%3.19B
7.73%3.02B
7.56%2.97B
8.02%2.95B
8.37%2.97B
8.29%2.80B
8.12%2.76B
10.16%2.73B
8.08%2.74B
7.53%2.59B
5.46%2.55B
2.73%2.48B
3.27%2.54B
3.65%2.41B
5.82%2.42B
6.10%2.42B
6.15%2.46B
-21.47%2.32B
-20.21%2.29B
-17.58%2.28B
-19.16%2.31B
6.57%2.96B
7.90%2.87B
7.91%2.76B
6.63%2.86B
5.93%2.78B
3.78%2.66B
0.80%2.56B
-1.26%2.68B
-4.25%2.62B
-3.22%2.56B
-1.67%2.54B
0.64%2.72B
1.77%2.74B
2.00%2.65B
2.71%2.58B
2.12%2.70B
3.11%2.69B
4.24%2.59B
1.66%2.52B
3.51%2.65B
3.12%2.61B
5.28%2.49B
--2.47B
--2.56B
--2.53B
--2.36B
Gesamtverbindlichkeiten
7.57%13.37B
6.87%13.35B
1.59%12.52B
2.94%12.43B
2.35%12.43B
2.38%12.49B
3.11%12.32B
3.15%12.07B
4.16%12.15B
6.54%12.20B
8.34%11.95B
6.25%11.70B
4.97%11.66B
4.06%11.45B
4.30%11.03B
5.90%11.01B
8.47%11.11B
7.46%11.00B
8.26%10.57B
9.02%10.40B
6.97%10.24B
7.32%10.24B
5.95%9.77B
5.35%9.54B
1.37%9.57B
-24.53%9.54B
-26.04%9.22B
-27.09%9.06B
-24.27%9.45B
1.81%12.64B
5.44%12.46B
7.29%12.42B
9.76%12.47B
9.71%12.42B
5.97%11.82B
4.58%11.58B
3.90%11.36B
1.38%11.32B
-0.73%11.15B
0.41%11.07B
0.19%10.94B
-0.22%11.16B
0.60%11.24B
0.58%11.03B
1.22%10.92B
2.47%11.19B
3.32%11.17B
1.33%10.96B
-0.97%10.78B
2.71%10.92B
2.95%10.81B
4.68%10.82B
--10.89B
--10.63B
--10.50B
--10.33B
Eigenkapital der Aktionäre
Stammkapital
----
2.12%2.01B
2.15%1.99B
1.91%1.98B
1.77%1.97B
1.63%1.96B
1.50%1.95B
1.45%1.94B
1.36%1.94B
1.41%1.93B
1.38%1.92B
1.37%1.91B
1.37%1.91B
1.27%1.91B
1.25%1.90B
1.28%1.89B
1.60%1.89B
0.49%1.88B
0.36%1.87B
0.13%1.86B
1.09%1.86B
1.88%1.87B
1.83%1.87B
2.19%1.86B
-1.84%1.84B
-1.71%1.84B
-1.67%1.83B
-1.97%1.82B
0.80%1.87B
0.67%1.87B
0.66%1.86B
0.60%1.86B
0.56%1.86B
0.95%1.86B
0.92%1.85B
0.96%1.85B
0.72%1.85B
0.29%1.84B
0.27%1.84B
0.09%1.83B
0.15%1.83B
0.33%1.83B
0.32%1.83B
0.37%1.83B
0.03%1.83B
-0.12%1.83B
1.75%1.83B
2.02%1.82B
2.41%1.83B
2.50%1.83B
0.61%1.79B
0.29%1.79B
--1.79B
--1.79B
--1.78B
--1.78B
Gewinnrücklagen
----
16.35%3.58B
14.24%3.43B
10.45%3.31B
10.32%3.21B
8.55%3.07B
5.27%3.00B
1.43%2.99B
-2.79%2.91B
-6.51%2.83B
-6.66%2.85B
-3.57%2.95B
0.33%2.99B
6.42%3.03B
7.71%3.06B
11.92%3.06B
11.81%2.98B
12.55%2.85B
16.54%2.84B
16.63%2.73B
10.66%2.67B
4.38%2.53B
4.60%2.44B
2.91%2.34B
10.48%2.41B
6.39%2.42B
5.80%2.33B
7.28%2.28B
10.50%2.18B
17.01%2.28B
12.46%2.20B
11.83%2.12B
5.30%1.98B
1.89%1.95B
6.25%1.96B
2.10%1.90B
4.00%1.88B
9.18%1.91B
8.96%1.84B
17.12%1.86B
15.71%1.80B
17.50%1.75B
16.42%1.69B
14.49%1.59B
15.54%1.56B
14.98%1.49B
13.20%1.45B
10.74%1.39B
11.35%1.35B
1.02%1.30B
2.15%1.28B
0.32%1.25B
--1.21B
--1.28B
--1.26B
--1.25B
Kapitalrücklagen
----
2.12%2.00B
2.15%1.99B
1.91%1.98B
1.77%1.97B
1.63%1.96B
1.50%1.95B
1.45%1.94B
1.36%1.94B
1.41%1.93B
1.38%1.92B
1.37%1.91B
1.37%1.91B
1.27%1.90B
1.25%1.90B
1.28%1.89B
1.60%1.89B
0.49%1.88B
0.36%1.87B
0.13%1.86B
1.09%1.86B
1.88%1.87B
1.83%1.87B
2.19%1.86B
-1.84%1.84B
-1.71%1.84B
-1.67%1.83B
-1.97%1.82B
0.80%1.87B
0.67%1.87B
0.66%1.86B
0.60%1.86B
0.56%1.86B
0.95%1.86B
0.92%1.85B
0.96%1.85B
0.72%1.85B
0.29%1.84B
0.27%1.84B
0.09%1.83B
0.15%1.83B
0.33%1.83B
0.32%1.83B
0.37%1.83B
0.03%1.83B
-0.12%1.83B
1.75%1.82B
2.02%1.82B
2.41%1.83B
2.50%1.83B
0.61%1.79B
0.29%1.79B
--1.79B
--1.78B
--1.78B
--1.78B
Abzüglich: Eigene Aktien
----
5.22%1.96B
3.18%1.92B
1.74%1.90B
1.03%1.89B
-0.37%1.86B
-0.26%1.86B
-0.26%1.86B
-0.27%1.87B
-0.27%1.87B
0.29%1.87B
0.49%1.87B
1.25%1.87B
2.39%1.87B
2.99%1.86B
6.87%1.86B
8.96%1.85B
14.40%1.83B
16.36%1.81B
12.93%1.74B
14.21%1.70B
20.44%1.60B
16.95%1.55B
30.85%1.54B
51.01%1.49B
36.30%1.33B
38.96%1.33B
24.04%1.18B
4.35%983.50M
3.00%973.90M
1.35%956.30M
2.88%949.50M
1.54%942.50M
1.54%945.50M
5.20%943.60M
4.27%922.90M
9.57%928.20M
14.91%931.20M
19.20%897.00M
18.95%885.10M
12.59%847.10M
6.72%810.40M
0.49%752.50M
-1.63%744.10M
-1.38%752.40M
-1.25%759.40M
-2.77%748.80M
2.52%756.40M
4.55%762.90M
5.01%769.00M
6.40%770.10M
3.10%737.80M
--729.70M
--732.30M
--723.80M
--715.60M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
----
33.79%-198.30M
46.89%-287.20M
37.20%-344.70M
11.77%-456.30M
61.62%-299.50M
19.39%-540.80M
9.68%-548.90M
26.27%-517.20M
-1.85%-780.30M
-29.04%-670.90M
-136.83%-607.70M
-674.06%-701.50M
-477.02%-766.10M
-307.54%-519.90M
-236.71%-256.60M
-67.19%122.20M
-42.34%203.20M
-22.57%250.50M
165.86%187.70M
144.10%372.50M
129.58%352.40M
198.98%323.50M
1757.89%70.60M
230.99%152.60M
180.45%153.50M
163.99%108.20M
103.16%3.80M
-208.27%-116.50M
-267.37%-190.80M
-258.19%-169.10M
-234.98%-120.40M
71.34%107.60M
-49.78%114.00M
-53.40%106.90M
-41.08%89.20M
16.51%62.80M
118.27%227.00M
63.86%229.40M
-33.27%151.40M
-73.89%53.90M
-51.42%104.00M
-47.59%140.00M
-0.53%226.90M
16.22%206.40M
14.00%214.10M
40.80%267.10M
-29.40%228.10M
-45.49%177.60M
-48.41%187.80M
-37.41%189.70M
21.88%323.10M
--325.80M
--364.00M
--303.10M
--265.10M
Gesamtes Eigenkapital
25.68%3.57B
19.06%3.43B
26.02%3.22B
20.68%3.04B
15.26%2.84B
35.98%2.88B
14.04%2.55B
5.60%2.52B
5.65%2.47B
-7.82%2.12B
-12.98%2.24B
-15.67%2.39B
-25.79%2.33B
-25.99%2.30B
-18.46%2.57B
-7.02%2.83B
-1.79%3.14B
-1.67%3.10B
2.68%3.15B
11.34%3.05B
9.81%3.20B
2.21%3.15B
4.44%3.07B
-6.50%2.74B
-1.30%2.92B
3.50%3.09B
0.04%2.94B
0.48%2.93B
-1.43%2.95B
0.35%2.98B
-1.10%2.94B
-0.01%2.91B
4.91%3.00B
-2.42%2.97B
-1.24%2.97B
-1.47%2.91B
0.46%2.86B
5.85%3.05B
3.48%3.01B
1.97%2.96B
0.01%2.84B
3.81%2.88B
4.06%2.91B
8.16%2.90B
9.62%2.84B
8.95%2.77B
12.00%2.80B
2.18%2.68B
-0.03%2.59B
-5.75%2.54B
-4.65%2.50B
1.74%2.62B
--2.60B
--2.70B
--2.62B
--2.58B
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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Häufig gestellte Fragen

Was ist die Bilanz?

Es handelt sich um einen Finanzbericht, der die Vermögenswerte, Verbindlichkeiten und das Eigenkapital eines Unternehmens zu einem bestimmten Zeitpunkt zusammenfasst.
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