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AIG American International Group

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  • 71.040
  • +1.040+1.49%
Trading Dec 19 10:57 ET
44.31BMarket Cap-21.33P/E (TTM)

American International Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-48.67%1.7B
10.47%1.03B
4.43%519M
51.02%6.24B
798.20%1.5B
-1.75%3.31B
67.44%936M
1,174.36%497M
-33.57%4.13B
-63.62%167M
Net income from continuing operations
-31.38%481M
-125.93%-328M
1,939.08%1.6B
-65.60%3.88B
265.45%2B
-77.29%701M
-58.93%1.27B
-101.91%-87M
3.37%11.27B
-89.25%547M
Operating gains losses
-4,433.33%-130M
-928.57%-348M
4.32%459M
-63.51%320M
-147.97%-165M
0.00%3M
-91.53%42M
1,194.12%440M
117.06%877M
108.81%344M
Other non cash items
--0
--892M
-381.96%-891M
67.32%-385M
8.76%-406M
----
----
163.71%316M
-13.49%-1.18B
62.51%-445M
Change in working capital
-86.66%149M
175.23%732M
-58.39%-1.99B
71.31%-3.55B
7.97%-2.44B
172.86%1.12B
74.85%-973M
70.90%-1.26B
-457.12%-12.37B
-181.79%-2.65B
-Change in loss and loss adjustment expense reserves
64.84%-218M
359.12%730M
-55.16%1.35B
141.52%1.59B
77.50%-961M
-1,207.14%-620M
118.11%159M
140.05%3.02B
-185.80%-3.84B
-214.74%-4.27B
-Change in deferred acquisition costs
6.61%-862M
17.68%-582M
27.71%-1.22B
-14.76%-5.42B
-117.39%-2.1B
21.71%-923M
39.83%-707M
-20.47%-1.69B
4.97%-4.72B
13.05%-966M
-Change in reinsurance recoverable on paid and unpaid losses
-42.45%549M
-480.00%-38M
33.23%-1.71B
-88.13%472M
-22.25%2.07B
96.30%954M
-99.39%10M
-217.35%-2.56B
481.03%3.98B
282.88%2.66B
-Change in other working capital
-60.14%680M
242.99%622M
-1,772.73%-412M
97.51%-194M
-1,961.43%-1.44B
290.40%1.71B
87.41%-435M
99.35%-22M
-1,046.83%-7.79B
-108.39%-70M
Cash from discontinued operating activities
0
203M
Operating cash flow
-51.64%1.7B
51.47%930M
4.43%519M
51.02%6.24B
869.46%1.62B
4.27%3.51B
9.84%614M
1,174.36%497M
-33.57%4.13B
-63.62%167M
Investing cash flow
Cash flow from continuing investing activities
117.64%315M
54.17%2.57B
120.90%308M
-93.63%-7.02B
-298.68%-5.43B
62.78%-1.79B
-0.95%1.67B
-272.80%-1.47B
-10.55%-3.63B
-282.30%-1.36B
Net investment purchase and sale
119.83%283M
33.60%1.36B
1,121.85%1.54B
-461.28%-6.31B
-455.73%-5.75B
76.48%-1.43B
-71.61%1.02B
-105.75%-151M
128.06%1.75B
132.66%1.62B
Net proceeds payment for loan
337.84%162M
12.81%1.17B
-8.75%-1.14B
45.06%-2.71B
-133.62%-2.73B
-87.24%37M
142.26%1.04B
34.00%-1.05B
-560.72%-4.93B
-326.64%-1.17B
Net business purchase and sale
-97.44%6M
--0
--0
--3.32B
--3.08B
--234M
---29M
--32M
--0
--0
Net other investing changes
78.41%-136M
111.14%40M
69.97%-91M
-197.97%-1.32B
98.45%-28M
-164.35%-630M
-163.88%-359M
-71.19%-303M
55.48%-443M
-670.03%-1.81B
Cash from discontinued investing activities
Investing cash flow
109.18%315M
-292.56%-1.6B
120.90%308M
-93.63%-7.02B
-116.61%-2.95B
28.49%-3.43B
-50.45%833M
-272.80%-1.47B
-10.55%-3.63B
-282.30%-1.36B
Financing cash flow
Cash flow from continuing financing activities
-37.19%-1.91B
-138.55%-3.42B
-239.66%-1.14B
229.90%782M
204.25%2.79B
-212.34%-1.39B
34.37%-1.43B
241.59%817M
83.64%-602M
199.78%917M
Net issuance payments of debt
79.30%-47M
117.08%62M
-180.65%-525M
-145.35%-1.95B
-8.34%-2.01B
-109.78%-227M
70.27%-363M
1,908.33%651M
81.03%-796M
-73.41%-1.86B
Net common stock issuance
-85.80%-1.51B
-212.04%-1.69B
-184.23%-1.64B
43.06%-2.96B
-28.93%-1.03B
37.35%-810M
68.44%-540M
58.61%-577M
-100.62%-5.2B
14.77%-802M
Net preferred stock issuance
--0
--0
---485M
----
----
--0
--0
--0
----
----
Cash dividends paid
2.68%-254M
2.61%-261M
-9.96%-265M
-1.48%-1.03B
-5.35%-256M
-5.67%-261M
-4.69%-268M
9.06%-241M
9.08%-1.01B
10.33%-243M
Net other financing charges
-10.53%-105M
-486.97%-1.53B
80.28%1.77B
4.95%6.72B
59.49%6.09B
-120.65%-95M
-125.94%-261M
-11.99%984M
51.74%6.41B
179.93%3.82B
Cash from discontinued financing activities
0
1.27B
Financing cash flow
-1,441.13%-1.91B
206.55%993M
-239.66%-1.14B
229.90%782M
11.34%1.02B
-110.00%-124M
57.29%-932M
241.59%817M
83.64%-602M
199.78%917M
Net cash flow
Beginning cash position
-10.13%1.4B
-9.48%1.86B
-0.54%2.2B
-8.69%2.22B
-41.87%1.45B
-42.82%1.56B
-24.59%2.06B
-8.69%2.22B
-24.86%2.43B
-11.93%2.5B
Current changes in cash
339.53%103M
-38.06%319M
-96.25%-314M
104.26%4M
-11.19%-308M
77.37%-43M
787.93%515M
-150.79%-160M
87.23%-94M
66.05%-277M
Effect of exchange rate changes
152.73%29M
-331.25%-37M
-1,550.00%-29M
88.89%-13M
900.00%24M
-30.95%-55M
127.12%16M
115.38%2M
-74.63%-117M
88.89%-3M
End cash position
7.44%1.56B
-10.13%1.4B
-9.48%1.86B
-0.54%2.2B
-0.54%2.2B
-41.87%1.45B
-42.82%1.56B
-24.59%2.06B
-8.69%2.22B
-8.69%2.22B
Free cash flow
-51.64%1.7B
51.47%930M
4.43%519M
51.02%6.24B
869.46%1.62B
4.27%3.51B
9.84%614M
1,174.36%497M
-33.57%4.13B
-63.62%167M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -48.67%1.7B10.47%1.03B4.43%519M51.02%6.24B798.20%1.5B-1.75%3.31B67.44%936M1,174.36%497M-33.57%4.13B-63.62%167M
Net income from continuing operations -31.38%481M-125.93%-328M1,939.08%1.6B-65.60%3.88B265.45%2B-77.29%701M-58.93%1.27B-101.91%-87M3.37%11.27B-89.25%547M
Operating gains losses -4,433.33%-130M-928.57%-348M4.32%459M-63.51%320M-147.97%-165M0.00%3M-91.53%42M1,194.12%440M117.06%877M108.81%344M
Other non cash items --0--892M-381.96%-891M67.32%-385M8.76%-406M--------163.71%316M-13.49%-1.18B62.51%-445M
Change in working capital -86.66%149M175.23%732M-58.39%-1.99B71.31%-3.55B7.97%-2.44B172.86%1.12B74.85%-973M70.90%-1.26B-457.12%-12.37B-181.79%-2.65B
-Change in loss and loss adjustment expense reserves 64.84%-218M359.12%730M-55.16%1.35B141.52%1.59B77.50%-961M-1,207.14%-620M118.11%159M140.05%3.02B-185.80%-3.84B-214.74%-4.27B
-Change in deferred acquisition costs 6.61%-862M17.68%-582M27.71%-1.22B-14.76%-5.42B-117.39%-2.1B21.71%-923M39.83%-707M-20.47%-1.69B4.97%-4.72B13.05%-966M
-Change in reinsurance recoverable on paid and unpaid losses -42.45%549M-480.00%-38M33.23%-1.71B-88.13%472M-22.25%2.07B96.30%954M-99.39%10M-217.35%-2.56B481.03%3.98B282.88%2.66B
-Change in other working capital -60.14%680M242.99%622M-1,772.73%-412M97.51%-194M-1,961.43%-1.44B290.40%1.71B87.41%-435M99.35%-22M-1,046.83%-7.79B-108.39%-70M
Cash from discontinued operating activities 0203M
Operating cash flow -51.64%1.7B51.47%930M4.43%519M51.02%6.24B869.46%1.62B4.27%3.51B9.84%614M1,174.36%497M-33.57%4.13B-63.62%167M
Investing cash flow
Cash flow from continuing investing activities 117.64%315M54.17%2.57B120.90%308M-93.63%-7.02B-298.68%-5.43B62.78%-1.79B-0.95%1.67B-272.80%-1.47B-10.55%-3.63B-282.30%-1.36B
Net investment purchase and sale 119.83%283M33.60%1.36B1,121.85%1.54B-461.28%-6.31B-455.73%-5.75B76.48%-1.43B-71.61%1.02B-105.75%-151M128.06%1.75B132.66%1.62B
Net proceeds payment for loan 337.84%162M12.81%1.17B-8.75%-1.14B45.06%-2.71B-133.62%-2.73B-87.24%37M142.26%1.04B34.00%-1.05B-560.72%-4.93B-326.64%-1.17B
Net business purchase and sale -97.44%6M--0--0--3.32B--3.08B--234M---29M--32M--0--0
Net other investing changes 78.41%-136M111.14%40M69.97%-91M-197.97%-1.32B98.45%-28M-164.35%-630M-163.88%-359M-71.19%-303M55.48%-443M-670.03%-1.81B
Cash from discontinued investing activities
Investing cash flow 109.18%315M-292.56%-1.6B120.90%308M-93.63%-7.02B-116.61%-2.95B28.49%-3.43B-50.45%833M-272.80%-1.47B-10.55%-3.63B-282.30%-1.36B
Financing cash flow
Cash flow from continuing financing activities -37.19%-1.91B-138.55%-3.42B-239.66%-1.14B229.90%782M204.25%2.79B-212.34%-1.39B34.37%-1.43B241.59%817M83.64%-602M199.78%917M
Net issuance payments of debt 79.30%-47M117.08%62M-180.65%-525M-145.35%-1.95B-8.34%-2.01B-109.78%-227M70.27%-363M1,908.33%651M81.03%-796M-73.41%-1.86B
Net common stock issuance -85.80%-1.51B-212.04%-1.69B-184.23%-1.64B43.06%-2.96B-28.93%-1.03B37.35%-810M68.44%-540M58.61%-577M-100.62%-5.2B14.77%-802M
Net preferred stock issuance --0--0---485M----------0--0--0--------
Cash dividends paid 2.68%-254M2.61%-261M-9.96%-265M-1.48%-1.03B-5.35%-256M-5.67%-261M-4.69%-268M9.06%-241M9.08%-1.01B10.33%-243M
Net other financing charges -10.53%-105M-486.97%-1.53B80.28%1.77B4.95%6.72B59.49%6.09B-120.65%-95M-125.94%-261M-11.99%984M51.74%6.41B179.93%3.82B
Cash from discontinued financing activities 01.27B
Financing cash flow -1,441.13%-1.91B206.55%993M-239.66%-1.14B229.90%782M11.34%1.02B-110.00%-124M57.29%-932M241.59%817M83.64%-602M199.78%917M
Net cash flow
Beginning cash position -10.13%1.4B-9.48%1.86B-0.54%2.2B-8.69%2.22B-41.87%1.45B-42.82%1.56B-24.59%2.06B-8.69%2.22B-24.86%2.43B-11.93%2.5B
Current changes in cash 339.53%103M-38.06%319M-96.25%-314M104.26%4M-11.19%-308M77.37%-43M787.93%515M-150.79%-160M87.23%-94M66.05%-277M
Effect of exchange rate changes 152.73%29M-331.25%-37M-1,550.00%-29M88.89%-13M900.00%24M-30.95%-55M127.12%16M115.38%2M-74.63%-117M88.89%-3M
End cash position 7.44%1.56B-10.13%1.4B-9.48%1.86B-0.54%2.2B-0.54%2.2B-41.87%1.45B-42.82%1.56B-24.59%2.06B-8.69%2.22B-8.69%2.22B
Free cash flow -51.64%1.7B51.47%930M4.43%519M51.02%6.24B869.46%1.62B4.27%3.51B9.84%614M1,174.36%497M-33.57%4.13B-63.62%167M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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