The Hartford 2010 Annual Report Download - page 229

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S-5
THE HARTFORD FINANCIAL SERVICES GROUP, INC.
SCHEDULE III
SUPPLEMENTARY INSURANCE INFORMATION (continued)
(In millions)
Segment
Earned
Premiums, Fee
Income and
Other
Net
Investment
Income
Benefits, Losses
and Loss
Adjustment
Expenses
Amortization of
Deferred Policy
Acquisition Costs
and Present Value
of Future Profits
Insurance
Operating
Costs and
Other
Expenses [1]
Net Written
Premiums
For the year ended December 31, 2010
Property & Casualty Commercial $ 6,052 $ 939 $ 3,370 $ 1,353 $ 866 $ 5,796
Group Benefits 4,278 429 3,331 61 1,111 N/A
Consumer Markets 4,119 187 2,951 667 493 3,886
Global Annuity 2,602 917 1,223 253 768 N/A
Life Insurance 1,029 522 849 121 223 N/A
Retirement Plans 359 364 278 27 340 N/A
Mutual Funds 690 (8) 62 480 N/A
Corporate and Other 190 268 249 1,043 3
Consolidated $ 19,319 $ 3,618 $ 12,251 $ 2,544 $ 5,324 $ 9,685
For the year ended December 31, 2009
Property & Casualty Commercial $ 6,237 $ 759 $ 3,266 $ 1,393 $ 866 $ 5,715
Group Benefits 4,350 403 3,196 61 1,120 N/A
Consumer Markets 4,113 178 2,902 674 475 3,995
Global Annuity 2,673 4,894 6,277 1,716 860 N/A
Life Insurance 1,054 347 715 317 208 N/A
Retirement Plans 324 315 269 56 346 N/A
Mutual Funds 518 (21) 50 395 N/A
Corporate and Other 223 344 394 873 1
Consolidated $ 19,492 $ 7,219 $ 17,019 $ 4,267 $ 5,143 $ 9,711
For the year ended December 31, 2008
Property & Casualty Commercial $ 6,758 $ 803 $ 3,822 $ 1,461 $ 903 $ 6,291
Group Benefits 4,391 419 3,144 57 1,128 N/A
Consumer Markets 4,070 207 2,758 633 438 3,933
Global Annuity 3,732 (8,405) (7,220) 1,762 1,382 N/A
Life Insurance 946 343 692 171 228 N/A
Retirement Plans 338 342 271 91 335 N/A
Mutual Funds 666 (22) 96 491 N/A
Corporate and Other 241 308 281 886 7
Consolidated $ 21,142 $ (6,005) $ 3,748 $ 4,271 $ 5,791 $ 10,231
[1] Includes interest expense and goodwill impairment.
N/A – Not applicable to life insurance pursuant to Regulation S-X.