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Schedule II Condensed Financial Information of the Hartford Financial Services, Inc. - Statements of Operations (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Consolidated Statements of Operations and Comprehensive Income      
Net investment income $ 2,177 $ 2,313 $ 1,846
Net realized gains (losses) (627) 509 (14)
Revenues 22,362 22,390 20,523
Interest expense 213 234 236
Loss on extinguishment of debt (9) 0 0
Insurance operating costs and other expenses 4,830 4,779 4,480
Total benefits, losses and expenses 20,104 19,494 18,403
Income tax expense 443 531 383
Net income 1,815 2,365 1,737
Other comprehensive income (loss) - parent company:      
Change in net gain on cash flow hedging instruments 34 (6) 3
OCI, net of tax (4,048) (998) 1,118
Comprehensive income (loss) (2,233) 1,367 2,855
Parent Company      
Consolidated Statements of Operations and Comprehensive Income      
Net investment income 13 2 9
Net realized gains (losses) 0 (1) (2)
Revenues 13 1 7
Interest expense 213 234 236
Loss on extinguishment of debt (9) 0 0
Insurance operating costs and other expenses (8) (2) (8)
Total benefits, losses and expenses 214 232 228
Loss before income taxes and earnings of subsidiaries (201) (231) (221)
Income tax expense (61) (51) (39)
Income (loss) before earnings of subsidiaries (140) (180) (182)
Earnings of subsidiaries 1,955 2,545 1,919
Net income 1,815 2,365 1,737
Other comprehensive income (loss) - parent company:      
Change in net gain on cash flow hedging instruments 45 24 (28)
Change in net unrealized gain or loss on fixed maturities (4) (1) (1)
Change in pension and other postretirement plan adjustments 119 224 (36)
Other comprehensive income (loss), net of taxes before other comprehensive income of subsidiaries 160 247 (65)
Other comprehensive income (loss) of subsidiaries (4,208) (1,245) 1,183
OCI, net of tax (4,048) (998) 1,118
Comprehensive income (loss) $ (2,233) $ 1,367 $ 2,855