Evercore analyst David Motemaden maintains $American International Group (AIG.US)$ with a hold rating, and maintains the target price at $79.
According to TipRanks data, the analyst has a success rate of 70.1% and a total average return of 11.9% over the past year.
Furthermore, according to the comprehensive report, the opinions of $American International Group (AIG.US)$'s main analysts recently are as follows:
AIG's shares experienced a decline post-earnings as the company forecasted a decrease in net interest income for Q4 and projected a 10% return on equity (ROE) in 2024. Although the projection may contain a degree of conservatism, it is predicted that the ROE will reach 10.3% in 2025 and 10.8% in 2026.
While the company reported earnings that surpassed expectations for Q3, there were some inconsistencies related to the ULR and reserve adjustments, which may lead to apprehensions, reflecting on the reactions observed with other stocks. Post-earnings, estimates were modestly revised downwards by approximately 1% to account for marginally higher operating expenses, a reduction in share repurchases for the quarter, and somewhat lesser buybacks than originally projected, which was somewhat balanced out by improved net interest income.
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Success rate is the number of the analyst's successful ratings, divided by his/her total number of ratings over the past year. A successful rating is one based on if TipRanks' virtual portfolio earned a positive return from the stock. Total average return is the average rate of return that the TipRanks' virtual portfolio has earned over the past year. These portfolios are established based on the analyst's preliminary rating and are adjusted according to the changes in the rating.
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Evercore分析师David Motemaden维持$美国国际集团 (AIG.US)$持有评级,维持目标价79美元。
根据TipRanks数据显示,该分析师近一年总胜率为70.1%,总平均回报率为11.9%。
此外,综合报道,$美国国际集团 (AIG.US)$近期主要分析师观点如下:
美国国际集团的股票在盈利后经历了下跌,因为该公司预测第四季度净利息收入将减少,并预计2024年股东权益回报率(ROE)为10%。尽管预测可能包含一定程度的保守性,但预计ROE将在2025年达到10.3%,2026年达到10.8%。
尽管公司报告的第三季度盈利超出预期,但与ULR和准备金调整有关的一些不一致性可能导致担忧,这反映在观察到其他股票的反应中。 在盈利后,盈利预期略微下调约1%,以考虑较高的营业费用,减少该季度的股票回购,并比原先预期的股票回购少一些,这些略微被改善的净利息收入所抵消。
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