BeStock  

American International Group AIG

US equityMarket cap rank #374Asset Management
$74.87 +$0.45 (+0.60%)
Market open · Oct 1, 1:20 pm ET · After hours $74.42 0.00%
Open$74.39
Prev close$74.42
Day range$74.47 – $75.32
Volume2.00M
Market cap$39.15B
P/E (TTM)13.7
Dividend yield2.47%

Fundamentals

Latest reported quarter: Q2, ended Jun 2026

Revenue$7.09B+0.6% YoY
Net profit$948.00M-17.1% YoY
Diluted EPS$1.78-10.1% YoY
Free cash flow$1.72B+23.4% YoY
Operating cash flow$1.72B

Revenue, last 8 quarters

$6.8BSep '24$7.2BDec '24$6.8BMar '25$7.0BJun '25$6.4BSep '25$6.6BDec '25$6.6BMar '26$7.1BJun '26

Net profit, last 8 quarters

$457.0MSep '24$901.0MDec '24$698.0MMar '25$1.1BJun '25$524.0MSep '25$731.0MDec '25$763.0MMar '26$948.0MJun '26

Diluted EPS by quarter

0.71Sep '241.43Dec '241.16Mar '251.98Jun '250.93Sep '251.35Dec '251.41Mar '261.78Jun '26

Free cash flow by quarter

$1.7BSep '24$125.0MDec '24$-56.0MMar '25$1.4BJun '25$1.3BSep '25$636.0MDec '25$155.0MMar '26$1.7BJun '26

Annual revenue

$43.8BFY20$52.0BFY21$30.0BFY22$27.9BFY23$27.3BFY24$26.8BFY25

Profitability & balance sheet

Net margin11.1%
Return on equity7.2%
Return on assets1.8%
Liabilities / assets75.1%
Total debt$9.13B
Free cash flow / sales14.4%

Income statement

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Revenue as Reported $7.09B $6.65B $26.78B $6.55B $6.35B
Total Operating Revenue $7.09B $6.62B $26.77B $6.56B $6.40B
Total Premiums Earned $6.22B $6.07B $23.75B $6.03B $6.07B
Fee Revenue and Other Income $2.00M $1.00M $11.00M -$2.00M -$4.00M
-Other Income Expense $2.00M $1.00M $11.00M -$2.00M -$4.00M
Net Investment Income $1.02B $837.00M $3.47B $549.00M $665.00M
Net Realized Gain/Loss on Investments -$187.00M -$316.00M -$814.00M -$25.00M -$367.00M
Net Foreign Exchange Gain/Loss -$7.00M -$22.00M $163.00M -$38.00M -$11.00M
Interest Income $33.00M $44.00M $192.00M $42.00M $46.00M
Total Expenses $5.82B $5.63B $22.90B $5.90B $5.69B
Loss Adjustment Expense $3.58B $3.48B $14.16B $3.48B $3.39B
Policy Acquisition Expense $900.00M $824.00M $3.37B $849.00M $850.00M
Selling and Admin Expenses $1.23B $1.14B $5.05B $1.48B $1.30B
-General & Admin Expense $1.23B $1.14B $5.05B $1.48B $1.30B
Net Non-Operating Interest Income (Expense) -$100.00M -$100.00M -$396.00M -$105.00M -$99.00M
-Interest Expense Non-Operating $100.00M $100.00M $396.00M $105.00M $99.00M
Special Income (Charges) -$6.00M -$127.00M $86.00M $28.00M $0.00
-Less:Other Special Charges $6.00M $127.00M -$86.00M -$28.00M –
Other Operating Expenses $1.00M -$34.00M -$1.00M $7.00M $51.00M
Pretax Profit $1.26B $987.00M $3.88B $661.00M $714.00M
Tax $316.00M $224.00M $782.00M -$70.00M $190.00M
Net Profit $948.00M $763.00M $3.10B $731.00M $524.00M
Profit from Continuing Operations $948.00M $763.00M $3.10B $731.00M $524.00M
Minority Interests $0.00 $0.00 $1.00M -$4.00M $5.00M
Net Income to Parent Company $948.00M $763.00M $3.10B $735.00M $519.00M
Net Income to Common Stockholders $948.00M $763.00M $3.10B $735.00M $519.00M
Basic EPS $1.79 $1.42 $5.48 $1.36 $0.94
Diluted EPS $1.78 $1.41 $5.43 $1.35 $0.93
Dividend Per Share $0.50 $0.45 $1.75 $0.45 $0.45
-Net Premiums Written – – $23.67B – –
-Increase Decrease in Net Unearned Premium Reserves – – $78.00M – –
Net Income from Discontinuous Operations – – $0.00 $0.00 $0.00

Balance sheet

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Assets $163.46B $161.54B $161.25B $161.25B $163.42B
Cash and Cash Equivalents $1.49B $1.45B $1.27B $1.27B $1.59B
Restricted Cash and Cash Equivalents $75.00M $74.00M $71.00M $71.00M $2.00M
Total Investments $91.62B $90.79B $92.94B $92.94B $93.85B
-Short Term Investments $35.05B $33.45B $37.13B $37.13B $35.30B
-Net Loan $2.60B $2.81B $2.89B $2.89B $3.31B
-Fixed Maturity Investments $667.00M $677.00M $741.00M $741.00M $743.00M
-Equity Investments $46.47B $46.83B $45.49B $45.49B $46.13B
-Other Invested Assets $6.84B $7.02B $6.70B $6.70B $8.36B
Reinsurance Recoverable $38.79B $38.90B $38.00B $38.00B $38.77B
Receivables $12.76B $11.63B $10.44B $10.44B $11.26B
-Accounts Receivable $12.76B $11.63B $10.44B $10.44B $11.26B
Accrued Investment Income $719.00M $680.00M $691.00M $691.00M $670.00M
Goodwill and Other Intangible Assets $3.42B $3.42B $3.44B $3.44B $3.44B
-Goodwill $3.42B $3.42B $3.44B $3.44B $3.44B
Deferred Policy Acquisition Costs $2.22B $2.13B $2.11B $2.11B $2.14B
Other Assets $7.49B $7.41B $7.20B $7.20B $7.13B
Total Liabilities $122.84B $121.11B $120.09B $120.09B $122.30B
Policy Holders Liabilities $91.51B $90.51B $90.39B $90.39B $91.25B
Total Deposits $3.34B $3.61B $3.30B $3.30B $3.33B
Payables $12.50B $11.58B $10.70B $10.70B $11.37B
-Accounts Payable $7.45B $6.48B $5.45B $5.45B $6.21B
-Total Tax Payable $2.14B $2.15B $2.22B $2.22B $2.06B
-Other Payable $2.90B $2.96B $3.04B $3.04B $3.09B
Long Term Debt and Capital Lease Obligation $9.13B $9.16B $9.19B $9.19B $9.24B
-Long Term Debt $9.13B $9.16B $9.19B $9.19B $9.24B
Other Liabilities $6.37B $6.26B $6.51B $6.51B $7.11B
Total Equity $40.63B $40.43B $41.16B $41.16B $41.12B
Stockholders' Equity $40.61B $40.41B $41.14B $41.14B $41.09B
Capital Stock $4.77B $4.77B $4.77B $4.77B $4.77B
-Common Stock $4.77B $4.77B $4.77B $4.77B $4.77B
Additional Paid-In Capital $75.34B $75.30B $75.37B $75.37B $75.33B
Retained Earnings $38.39B $37.70B $37.19B $37.19B $36.70B
Less: Treasury Stock $72.28B $71.65B $71.20B $71.20B $70.67B
Gains/Losses Not Affecting Retained Earnings -$5.61B -$5.72B -$4.99B -$4.99B -$5.05B
Minority Interests $20.00M $24.00M $23.00M $23.00M $32.00M

Cash flow

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Operating Cash Flow $1.72B $155.00M $3.31B $636.00M $1.34B
Net cash flow from continuing operations $1.72B $155.00M $3.31B $636.00M $1.34B
Net Income from Continuing Operations $948.00M $763.00M $3.10B $731.00M $524.00M
Gain/Loss from Continuing Operations $123.00M $248.00M $625.00M $155.00M $57.00M
Change in Working Capital -$153.00M -$1.96B -$3.76B -$1.28B -$623.00M
-Change in Loss and Loss Adjustment Expense Reserves $1.31B $553.00M $93.00M -$447.00M -$214.00M
-Change in Deferred Acquisition Costs -$1.01B -$895.00M -$3.44B -$862.00M -$888.00M
-Change in Reinsurance Recoverable on Paid and Unpaid Losses $156.00M -$1.03B $501.00M $773.00M $326.00M
-Change in Other Working Capital -$612.00M -$584.00M -$913.00M -$739.00M $153.00M
Net cash flow from investing -$752.00M $833.00M $3.19B -$69.00M -$56.00M
Net Cash Flow from Continuing Investing Activities -$752.00M $833.00M $3.19B -$69.00M -$56.00M
Net Investment Purchase and Sale -$756.00M $851.00M $2.97B -$235.00M -$68.00M
Net Amount of Loans Acquired/Repaid $207.00M $49.00M $1.04B $408.00M $177.00M
Net Other Investing Changes -$203.00M -$67.00M -$821.00M -$242.00M -$165.00M
Financing Cash Flow -$920.00M -$799.00M -$6.54B -$799.00M -$1.53B
Net Cash Flow from Continuing Financing Activities -$920.00M -$799.00M -$6.54B -$799.00M -$1.53B
Net Issuance Payments of Debt -$7.00M -$8.00M $140.00M -$12.00M -$2.00M
Net Common Stock Issuance -$645.00M -$508.00M -$5.84B -$584.00M -$1.25B
Cash Dividends Paid -$263.00M -$241.00M -$976.00M -$242.00M -$246.00M
Net Other Financing Charges -$5.00M -$42.00M $129.00M $39.00M -$39.00M
Ending Cash Balance $1.57B $1.53B $1.35B $1.35B $1.59B
Net Change in Cash $44.00M $189.00M -$39.00M -$232.00M -$245.00M
Beginning Cash Balance $1.53B $1.35B $1.37B $1.59B $1.84B
Effect of Exchange Rate Changes -$7.00M -$6.00M $12.00M -$17.00M -$2.00M
Free Cash Flow $1.72B $155.00M $3.31B $636.00M $1.34B
Other Non-Cash Items – – -$5.00M $0.00 $0.00
Cash Flow from Discontinued Operating Activities – – $0.00 $0.00 –
Net Business Purchase and Sale – – $0.00 $0.00 –
Net Preferred Stock Issuance – – $0.00 $0.00 –
Cash Flow from Discontinued Financing Activities – – $0.00 $0.00 –

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