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AIG
American International Group, Inc.
Summary
Business
Earnings Call
Valuation
Profitability
Financial Health
Intel
Yearly Return 10Y annualized return is positive but below market average at 3.6% per year
Earnings Expectations AIG has met or exceeded earnings expectations in the majority of recent quarters (8/10)
Positive Attractive Price-to-Sales Ratio
Positive Strong Gross Profit Margin
Negative Negative Price-to-Earnings Ratio
Negative Negative Net Profit Margin

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AIG is positioned strongly in the market with robust underwriting results and a strategic focus on capital management and innovative technology. However, challenges in personal lines and potential regulatory risks could temper growth prospects. The company is well-prepared for future growth with a solid commitment to achieving high returns on equity.

Analysis Date: February 12, 2025
Last Updated: May 29, 2025

+42%
+3.6% per year

Past performance does not guarantee future results. The data presented is indicative and may not be updated in real-time.

Country US
Exchange NYSE
Industry Insurance - Diversified
Sector Financial Services
Market Cap $45.98B
CEO Mr. Peter Salvatore Zaffino

American International Group, Inc. (AIG) is a company that provides various types of insurance to protect people and businesses. They offer coverage for things like car accidents, homeowners' property, and business risks. AIG also helps with life insurance and retirement savings products. Essentially, they help their customers manage risks and prepare for unexpected events.

Core Products

🚗
Auto Insurance Car protection policies
🏠
Property Insurance Coverage for properties
💰
Variable Annuities Investment-linked products
❤️
Term Life Insurance Temporary life coverage
🛡️
General Liability Insurance Coverage against liabilities
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Workers' Compensation Insurance Employee injury coverage
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Professional Liability Insurance Protection for professionals

Business Type

B2B Business to Business

Competitive Advantages

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Key Business Risks

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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.

Graham Value Metrics

Benjamin Graham's value investing approach focuses on finding stocks with a significant margin of safety between their intrinsic value and market price.

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ROE: -4.432759058096359

ROA: None

Gross Profit Margin: 100.0

Net Profit Margin: -7.047004473124588

Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.

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About Profitability Metrics

Profitability metrics measure a company's ability to generate earnings relative to its revenue, operating costs, and other relevant metrics. Higher values generally indicate better performance.

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  • • Return on Assets (ROA) insights
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About Financial Health Metrics

Financial health metrics assess a company's ability to meet its financial obligations and its overall financial stability.

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Meeting Expectations

8 /10

Higher values indicate better execution and credibility

Recent Results

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EPS

1.00
Estimated
1.17
Actual
+17.00%
Difference

Revenue

$6821750568
Estimated
$6774000000
Actual
-0.57%
Difference
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Insider trading data shows purchase and sale activities by company executives and board members.

Insider Sentiment Analysis

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AIG Stock Analysis: American International Group, Inc. Investment Guide

AIG (American International Group, Inc.) is a Financial Services company listed on New York Stock Exchange. The stock has generated 3.6% annual returns with an overall investment score of None/100.

AIG is positioned strongly in the market with robust underwriting results and a strategic focus on capital management and innovative technology. However, challenges in personal lines and potential regulatory risks could temper growth prospects. The company is well-prepared for future growth with a solid commitment to achieving high returns on equity.

AIG Key Financial Metrics

AIG financial analysis includes comprehensive valuation ratios, profitability metrics, and financial health indicators. The company has a valuation score of 6.23174060037586/100 and profitability score of 5.0/100 with financial health rated 4.0/100.

About American International Group, Inc.

American International Group, Inc. (AIG) is a company that provides various types of insurance to protect people and businesses. They offer coverage for things like car accidents, homeowners' property, and business risks. AIG also helps with life insurance and retirement savings products. Essentially, they help their customers manage risks and prepare for unexpected events.

AIG Investment Recommendation

Based on our comprehensive analysis of AIG, investors should consider the company's positive performance track record, earnings consistency (8/10 quarters beat expectations), and current valuation metrics when making investment decisions.

Financial Services Sector Analysis

AIG operates in the Insurance - Diversified industry within the Financial Services sector. This analysis compares American International Group, Inc. performance against industry and sector benchmarks to provide context for investment decisions.

Frequently Asked Questions about AIG Stock

Is AIG a good investment?

AIG (American International Group, Inc.) has generated 3.6% annual returns with an overall score of None/100. AIG is positioned strongly in the market with robust underwriting results and a strategic focus on capital management and innovative technology. However, challenges in personal lines and potential regulatory risks … Investors should consider their risk tolerance and investment goals when evaluating AIG.

What is AIG P/E ratio and valuation?

AIG valuation metrics including P/E ratio, price-to-book ratio, and price-to-sales ratio are analyzed on this page with comparisons to Insurance - Diversified industry and Financial Services sector benchmarks. The company currently has a valuation score of 6.23174060037586/100.

Should I buy AIG stock now?

The decision to buy AIG stock should be based on comprehensive analysis of financial metrics, market conditions, and individual investment goals. Our analysis provides profitability score of 5.0/100, financial health score of 4.0/100, and detailed performance metrics to help inform your investment decision.

What are AIG financial health indicators?

AIG financial health analysis includes liquidity ratios, debt levels, cash flow metrics, and profitability indicators. The company has a financial health score of 4.0/100 based on comprehensive analysis of balance sheet strength and operational efficiency.

How does AIG compare to competitors?

AIG performance is benchmarked against Insurance - Diversified industry peers and Financial Services sector averages. Our analysis includes comparative valuation ratios, profitability metrics, and growth indicators to provide context for American International Group, Inc.'s market position.

What are AIG historical returns?

AIG has generated 3.6% annual returns over the 10Y. Historical performance analysis includes price appreciation, dividend yields, and total shareholder returns compared to market benchmarks.

AIG Key Investment Metrics Summary

  • Annual Return: 3.6%
  • Valuation Score: 6.23174060037586/100
  • Profitability Score: 5.0/100
  • Financial Health Score: 4.0/100
  • Growth Score: 35.555761637666784/100
  • Earnings Beat Rate: 8/10 quarters
  • Sector: Financial Services
  • Industry: Insurance - Diversified
  • Exchange: New York Stock Exchange
  • Market Cap: 45978012990

AIG Investment Thesis

American International Group, Inc. (AIG) represents a conservative investment opportunity in the Financial Services sector. With an overall score of None/100, the company demonstrates areas for financial improvement.

Investment Strengths

  • Attractive Price-to-Sales Ratio
  • Strong Gross Profit Margin
  • Decent Operating Profit Margin
  • Low Debt Levels
  • Strong Interest Coverage
  • Strong Underwriting Results
  • Successful Capital Management Strategy
  • Innovative Use of Technology
  • Strategic Growth Initiatives
  • Improvement in Investment Income
  • Commitment to Achieving ROE Targets

Investment Risks

  • Negative Price-to-Earnings Ratio
  • Negative Net Profit Margin
  • Negative Return on Equity
  • Poor Liquidity Ratios
  • Challenges in Personal Lines
  • Potential Regulatory Challenges
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