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HIG

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The Hartford Insurance Group, Inc.

Financial Services

Session move

$138.96

+$2.25+1.65%

Vol 0.63× avg

73/100 quant · tgt $149.85

RS60 -1.0% vs SPY · ADV$ 219.4M

pushed 2026-08-19T09:35 · Pre-market · Pushed snapshot

Since last scan

2026-08-18 → 2026-08-19

Score+2.0Price+$2.25 · +1.65%Disclosure-12.0

Context only — not a buy/sell signal. Built from scan history and cached news/filings.

Snapshot quote

session 2026-08-18 · scan 2026-08-19 · pushed 2026-08-19T09:35 · Pre-market

Show quote fundamentals
Last (scan/close)
$138.96
Previous close
$136.71
Pushed last
$138.96 · Pre-market
Session open
$139.37
Last session range
$137.85 – $139.39
52-week range
$118.73 – $146.07
Session volume
975,124
Avg volume (20d)
1,550,706
Market cap
$38.09B
PE (TTM)
9.44
Forward PE
10.15
Dividend yield
1.70%
1y target est.
$149.85
Next earnings
2026-10-29

Snapshot quote — last daily session bars and scan fundamentals. Not live bid/ask or intraday quotes. Pre/after-hours quotes are thinner and may differ from the regular session.

If you put $1,000 in

1y ago

$1,073

+7%

5y ago

$2,319

+132%

Price path only from cached daily closes (adjusted when available). Not dividends cash, fees, or advice.

Market briefing

Curated digest — not a trade signal. Headlines and links as provided by the producer.

No recent headlines for this ticker.

Reddit mentions

Public Reddit titles via the official API — unofficial, delayed, not a trade signal. Not affiliated with Reddit. Opens Reddit.

No recent Reddit titles matched this ticker.

Price Chart

Daily prices from cache

Loading price history…

AI Analysis

  • Bull Thesis — The Hartford Insurance Group is poised for growth with a robust EPS growth rate of 14.44% and a solid revenue growth of 8.1%, indicating strong operational performance and potential for increased market share.
  • Risks — High debt-to-equity ratio of 22.33 may pose financial stability risks, particularly in a rising interest rate environment, potentially impacting profitability and cash flow.
  • Target Upside — With a current price of $138.96 and a mean target price of $149.85, there is approximately 7.9% upside potential, making it an attractive buy for growth-focused investors.

Score History

2026-07-3072.8 pts · 2026-08-19

15 days of scans. Daily batch adds the next weekday automatically while the API is running.

  • DatePriceChgScoreRating
  • 2026-08-19$138.96+2.2572.8Watch
  • 2026-08-18$136.71-1.3170.8Watch
  • 2026-08-17$138.02+0.2170.5Watch
  • 2026-08-14$137.81+0.4070.9Watch
  • 2026-08-13$137.41-1.6770.9Watch
  • 2026-08-12$139.08-2.0771.2Watch
  • 2026-08-11$141.15-2.1371.3Watch
  • 2026-08-10$143.28-1.2371.2Watch
  • 2026-08-07$144.51+0.9171.0Watch
  • 2026-08-06$143.60+1.5570.7Watch
  • 2026-08-05$142.05-0.8570.8Watch
  • 2026-08-03$142.90+0.9969.6Pass
  • 2026-08-01$141.91-1.0269.8Pass
  • 2026-07-31$142.93-0.1269.9Pass
  • 2026-07-30$143.0569.9Pass

Quant Breakdown

Revenue Growth
3.2
EPS Growth
14.4
ROE
10.6
PER Relative
10.0
Debt / Equity
8.0
FCF Margin
8.0
Analyst Upside
2.6
Insider / Sector
3.0
Momentum 3M
4.9
Earn. Surprise
8.0

Short volume (FINRA)

Off-exchange short sale volume ratio vs recent sessions — not a squeeze forecast.

as of 2026-08-18 · finra_cnms
Short / total
40.1%
vs 20d (z)
0.81
Short vol
163,208
Status
ok

Squeeze pressure score

full

47/100

Short leg
29
Call leg
90
Activity
0.0
Call vol share
84.0%
PCR (vol)
0.19
Call OI share
97.1%
ATM IV
3.1%

FINRA off-exchange short volume (TRF/ADF consolidated). Not short interest as % of float. Squeeze pressure score (0–100) — free composite of off-exchange short volume and (when available) call-side options activity. Not a probability that a squeeze will occur.

Disclosure score

Rule-based News / Insider / Earnings legs from cached SEC filings — context only, not beat/miss or a buy signal.

No recent SEC filings or earnings calendar inputs in the score window yet.

Disclosure event score — rule-based view of recent SEC filings and earnings calendar. Not a prediction that price will move, and not earnings beat/miss.

Earnings surprise (quant context)

From Yahoo/public fundamentals cached on the last quant scan — not part of the disclosure event score, and not a buy signal. Figure can lag the latest print.

Last reported surprise +0.3%

Filings & events

Recent SEC disclosures and earnings dates — context only, not a trade signal.

as of 2026-08-11·sec_edgar·CIK 0000874766
Next earnings
2026-10-29yahoo_calendar
Last earnings

SEC filings as reported; earnings dates may come from Yahoo calendar. Context only — not investment advice and not a prediction that price will move on a filing or event.