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AIG

S&P 500
Neutral · 48/100

American International Group

Financials
Multi-line Insurance

$76.37

3.2%

Updated Today 7:15 PM ET

Price — Past Year

▼ Down 12.1% over the last 12 months

Price 50-day average 200-day averageSource: Yahoo Finance · refreshed daily
Key Metrics

Market Cap

$39.25B

P/E

12.49x

Forward P/E (est.)

16.71x

ROE

7.7%

Revenue Growth

-2.3%

EPS Growth

-25.2%

Profit Margin

11.9%

FCF Yield

15.7%

Debt / Equity

0.22x

ROIC

Interest Coverage

Current Ratio

Dividend Yield

2.7%

Implied Growth (rev. DCF)

Rating Score

48/100

Technical Analysis (Educational)
Research

Technical analysis reads price and volume to judge momentum and timing. It complements the fundamentals above — it does not replace them. Here is what AIG's chart says today, with each tool explained.

Trend — moving averages. A moving average is the average closing price over a window, which smooths out daily noise. AIG trades near $76.37, around its 50-day average ($76.11) and 200-day average ($77.70). Price tangled in its moving averages means there is no clear trend — the stock is ranging.

Momentum — RSI. The Relative Strength Index runs 0–100 and measures how strong recent gains are versus losses. Above 70 is "overbought", below 30 "oversold". At 52 it is in neutral territory — neither stretched nor washed out.

MACD. MACD compares two moving averages to flag shifts in momentum. Its histogram is currently positive — short-term momentum is improving.

Volatility — ATR. Average True Range is the typical daily move. AIG's is $1.54 (~2.0% of price), so swings of about that size each day are normal — handy for setting a stop that isn't too tight.

Support & resistance. Over the last month AIG found buyers near $72.15 (support) and sellers near $78.92 (resistance); its 52-week range is $71.25–$87.29. A decisive break beyond either edge often marks the next move.

Volume. The latest session traded 0.9× the 20-day average — about normal. Rising volume on up-days suggests real buying; on down-days, real selling.

Educational information to help you read a chart — not a recommendation or a forecast. It updates daily as the price and indicators change.

Business Overview
Research

American International Group (AIG) is a large-cap company in the Multi-line Insurance industry, part of the Financials sector of the S&P 500, with a market value around $39.25B.

In its latest reported year it generated about $26.77B in revenue and $3.10B in net profit.

Our model rates AIG Neutral (48/100) on growth, profitability, financial health, and valuation. The summary below is built from its filed financials and current ratios and refreshes automatically.

Revenue Growth
Research

4Y CAGR

-15.4%

Revenue moved from $52.16B in 2021 to $26.77B in 2025, a -15.4% compound annual growth rate. The most recent year declined 2.3% year over year. Shrinking revenue is worth a closer look — is it cyclical or structural?

Profitability
Research

Gross Margin

Operating Margin

16.2%

Net Margin

11.6%

ROE

7.7%

American International Group keeps about 11.9% of each sales dollar as net profit. Return on equity is 7.7%. Margins are moderate — typical of a competitive but profitable business.

Debt Analysis
Research

Total Debt

$9.19B

Net Debt

$9.19B

Net Debt / EBITDA

Debt / Equity

0.22x

Leverage: debt-to-equity is 0.2x. That is a conservative balance sheet — a cushion in downturns.

Cash Flow Analysis
Research

Operating CF

$3.31B

Free Cash Flow

$3.31B

FCF Margin

12.4%

In the latest year American International Group produced about $3.31B of operating cash flow and $3.31B of free cash flow after capital spending. That is a free-cash-flow yield of about 15.7% on today's price. Strong cash generation funds dividends, buybacks, and reinvestment.

Valuation Analysis
Research

P/E

12.49x

P/S

1.5x

P/B

1.1x

EV / EBITDA

AIG trades at 12.5x trailing earnings (about 16.7x on estimated forward earnings), 1.5x sales, and 1.1x book value. That is an undemanding multiple — potentially cheap if the business is stable.

Metrics vs. Typical Range

Where this stock sits versus what most companies trade at.

TTM P/E
12.5xCheap
Forward P/E
16.7xFair
P/S ratio
1.5xCheap
Revenue growth
-2.3%Weak
EPS growth
-25.2%Weak
Gross margin
Net margin
11.9%Strong
ROE
7.7%Weak

Typical ranges are general references (e.g., many stocks trade at ~18–26x earnings), not hard rules. Context only — not investment advice.

Sector Peer Comparison

How AIG stacks up against its Financials peers — valuation, profitability, and growth versus the sector median.

In the Financials sector (76 S&P 500 companies), AIG ranks #67 of 76 by our overall rating. It trades at a discount versus the sector on earnings (12.5x P/E vs. 15.2x median) with a lower return on equity (7.7% vs. 15.3%) and slower revenue growth (-2.3% vs. 9.1%).

P/E vs sector

12.5x

median 15.2x

ROE vs sector

7.7%

median 15.3%

Growth vs sector

-2.3%

median 9.1%

Sector rank

#67

of 76 by rating

CompanyP/ERev Gr.Rating
AIGThis stock12.5x-2.3%Neutral· 48
L13.5x4.1%Neutral· 56
AIZ12.9x9.1%Favorable· 63
PYPL7.4x5.8%Favorable· 66
PRU10.7x3.9%Neutral· 50
AMP10.5x6.8%Favorable· 65
MSCI32.2x10.9%Favorable· 61
COIN53.8x-5.8%Weak· 24
Financials median15.2x9.1%65/100

Valuation vs. quality map

sector medianLAIZPYPLPRUAMPMSCICOINAIGP/E — cheaper ←→ pricierROE — more profitable ↑

The sweet spot is upper-left: more profitable (higher ROE) for a lower P/E. Dashed lines mark the sector median.

Compare side by side

Peers are the closest Financials companies by sub-industry and size. Sector median is across all 76 S&P 500 names in the sector. Educational, not a recommendation.

5-Year Projection Model

Project revenue → earnings → price. Edit the assumptions to build your own case.

2030 price target (Base Case)

$49.18$84.30

vs. $76.37 today · expected CAGR -8%2%

Metric20262027202820292030
Revenue$27.58B$28.41B$29.26B$30.14B$31.04B
Net income$3.31B$3.41B$3.51B$3.62B$3.72B
EPS$6.24$6.43$6.62$6.82$7.03
Share price (low)$43.69$45.00$46.35$47.74$49.18
Share price (high)$74.90$77.15$79.46$81.85$84.30
CAGR (low–high)-43% / -2%-23% / 1%-15% / 1%-11% / 2%-8% / 2%

Educational model on sample fundamentals — not a forecast or investment advice. Outputs are only as good as your assumptions.

Bull Case

The case for AIG:

  • Healthy free-cash-flow yield (~15.7%) funds buybacks and dividends.
  • A conservative balance sheet (debt/equity 0.2x) lowers risk.
  • Pays a 2.7% dividend on top of any price gains.
Bear Case

The case against AIG:

  • Revenue growth is slow/negative (-2.3%), limiting the upside engine.
  • Like any single stock, it is exposed to competition, the economic cycle, and shifts in its end markets.
Key Risks
Research

Growth risk — sluggish revenue (-2.3%) leaves little margin for execution missteps.

Market risk — sector rotation, the economic cycle, and broad sentiment move the stock regardless of fundamentals.

Investment Thesis
Research

On balance, the picture is mixed: American International Group is a large-cap financials business with shrinking revenue, with modest profitability, and a sound balance sheet. It trades at 12.5x earnings, which our model scores Neutral (48/100). Weigh this against your own goals and time horizon — this is educational information, not a recommendation.

Data notice. Fundamentals and financial statements are sourced from company filings (SEC EDGAR) and market-data providers; prices and market caps refresh on trading days and may be delayed. Ratings, projections, technical signals, and written summaries are model- or rule-generated for education and may simplify or lag the latest filings.

Not advice. Nothing on this page is investment advice or a recommendation to buy, hold, or sell any security. Do your own research and consult a licensed financial professional before investing.