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Schedule II Condensed Financial Information of The Hartford Financial Services Group, Inc. Level 3 (Tables)
12 Months Ended
Dec. 31, 2015
Condensed Financial Information of Parent Company Only Disclosure [Abstract]  
Condensed Balance Sheet [Table Text Block]
(
Condensed Income Statement [Table Text Block]
 
For the years ended December 31,
Condensed Statements of Operations and Comprehensive Income
2015
2014
2013
Net investment income
$
14

$
11

$
10

Net realized capital losses
(6
)
(6
)
(7
)
Total revenues
8

5

3

Interest expense
346

365

384

Other expenses
35

134

178

Total expenses
381

499

562

Loss before income taxes and earnings of subsidiaries
(373
)
(494
)
(559
)
Income tax benefit
(131
)
(172
)
(187
)
Loss before earnings of subsidiaries
(242
)
(322
)
(372
)
Earnings of subsidiaries
1,924

1,120

548

Net income (loss)
1,682

798

176

Other comprehensive income (loss) - parent company:
 
 
 
Change in net gain/loss on cash-flow hedging instruments


(11
)
Change in net unrealized gain/loss on securities
(1
)
10

(13
)
Change in pension and other postretirement plan adjustments
(82
)
(292
)
127

Other comprehensive income (loss), net of taxes before other comprehensive income of subsidiaries
(83
)
(282
)
103

Other comprehensive income of subsidiaries
(1,174
)
1,289

(3,025
)
Total other comprehensive income (loss)
(1,257
)
1,007

(2,922
)
Total comprehensive income (loss)
$
425

$
1,805

$
(2,746
)

Condensed Cash Flow Statement [Table Text Block]
 
For the years ended December 31,
Condensed Statements of Cash Flows
2015
2014
2013
Operating Activities
 
 
 
Net income
$
1,682

$
798

$
176

Loss on extinguishment of debt
21


176

Undistributed earnings of subsidiaries
(1,924
)
(1,120
)
(549
)
Change in operating assets and liabilities
1,167

3,376

1,170

Cash provided by operating activities
946

3,054

973

Investing Activities
 
 
 
Net sales of short-term investments
609

(212
)
(454
)
Capital contributions to subsidiaries
742

(585
)
1,211

Cash provided by (used for) investing activities
1,351

(797
)
757

Financing Activities
 
 
 
Proceeds from issuance of long-term debt


295

Repurchase of warrants


(33
)
Repayments of long-term debt
(773
)
(200
)
(1,190
)
Treasury stock acquired
(1,250
)
(1,796
)
(600
)
Proceeds from net issuances of common shares under incentive and stock compensation plans and excess tax benefits
42

21

20

Dividends paid — Preferred shares


(21
)
Dividends paid — Common Shares
(316
)
(282
)
(201
)
Cash used for financing activities
(2,297
)
(2,257
)
(1,730
)
Net change in cash



Cash — beginning of year



Cash — end of year
$

$

$

Supplemental Disclosure of Cash Flow Information
 
 
 
Interest Paid
$
351

$
366

$
366

Dividends Received from Subsidiaries
$
1,127

$
2,589

$
1,096