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AIG American International Group

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  • 72.910
  • +1.280+1.79%
Close Aug 14 16:00 ET
46.95BMarket Cap-61788P/E (TTM)

American International Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
10.47%1.03B
4.43%519M
51.02%6.24B
871.26%1.62B
-5.37%3.19B
67.44%936M
1,174.36%497M
-33.57%4.13B
-63.62%167M
14.05%3.37B
Net income from continuing operations
-125.93%-328M
1,939.08%1.6B
-65.60%3.88B
-186.47%-473M
2.79%3.17B
-58.93%1.27B
-101.91%-87M
3.37%11.27B
-89.25%547M
77.72%3.09B
Operating gains losses
-928.57%-348M
4.32%459M
-63.51%320M
-222.67%-422M
8,566.67%260M
-91.53%42M
1,194.12%440M
117.06%877M
108.81%344M
100.44%3M
Other non cash items
--892M
-381.96%-891M
67.32%-385M
246.07%650M
----
----
163.71%316M
-13.49%-1.18B
62.51%-445M
-1,062.75%-491M
Change in working capital
175.23%732M
-58.39%-1.99B
71.31%-3.55B
98.64%-36M
16.37%-1.28B
74.85%-973M
70.90%-1.26B
-457.12%-12.37B
-181.79%-2.65B
-331.92%-1.53B
-Change in loss and loss adjustment expense reserves
359.12%730M
-55.16%1.35B
141.52%1.59B
69.21%-1.32B
-575.00%-266M
118.11%159M
140.05%3.02B
-185.80%-3.84B
-214.74%-4.27B
-94.04%56M
-Change in deferred acquisition costs
17.68%-582M
27.71%-1.22B
-14.76%-5.42B
-19.98%-1.16B
-58.10%-1.86B
39.83%-707M
-20.47%-1.69B
4.97%-4.72B
13.05%-966M
-0.77%-1.18B
-Change in reinsurance recoverable on paid and unpaid losses
-480.00%-38M
33.23%-1.71B
-88.13%472M
-44.64%1.47B
218.93%1.55B
-99.39%10M
-217.35%-2.56B
481.03%3.98B
282.88%2.66B
157.14%486M
-Change in other working capital
242.99%622M
-1,772.73%-412M
97.51%-194M
1,478.57%965M
21.65%-702M
87.41%-435M
99.35%-22M
-1,046.83%-7.79B
-108.39%-70M
-227.64%-896M
Cash from discontinued operating activities
Operating cash flow
51.47%930M
4.43%519M
51.02%6.24B
871.26%1.62B
4.19%3.51B
9.84%614M
1,174.36%497M
-33.57%4.13B
-63.62%167M
14.05%3.37B
Investing cash flow
Cash flow from continuing investing activities
54.17%2.57B
120.90%308M
-93.63%-7.02B
-116.68%-2.95B
11.17%-4.26B
-0.95%1.67B
-272.80%-1.47B
-10.55%-3.63B
-282.30%-1.36B
-275.22%-4.8B
Net investment purchase and sale
33.60%1.36B
1,121.85%1.54B
-461.28%-6.31B
-456.04%-5.75B
76.57%-1.42B
-71.61%1.02B
-105.75%-151M
128.06%1.75B
132.66%1.62B
-907.97%-6.07B
Net proceeds payment for loan
12.81%1.17B
-8.75%-1.14B
45.06%-2.71B
74.08%-303M
-924.48%-2.39B
142.26%1.04B
34.00%-1.05B
-560.72%-4.93B
-326.64%-1.17B
133.41%290M
Net business purchase and sale
--0
--0
--3.32B
--3.05B
--266M
---29M
--32M
--0
--0
--0
Net other investing changes
111.14%40M
69.97%-91M
-197.97%-1.32B
103.21%58M
-173.14%-716M
-163.88%-359M
-71.19%-303M
55.48%-443M
-670.03%-1.81B
1,712.96%979M
Cash from discontinued investing activities
Investing cash flow
-292.56%-1.6B
120.90%308M
-93.63%-7.02B
-116.68%-2.95B
28.51%-3.43B
-50.45%833M
-272.80%-1.47B
-10.55%-3.63B
-282.30%-1.36B
-275.22%-4.8B
Financing cash flow
Cash flow from continuing financing activities
-138.55%-3.42B
-239.66%-1.14B
229.90%782M
11.34%1.02B
-69.68%376M
34.37%-1.43B
241.59%817M
83.64%-602M
199.78%917M
184.93%1.24B
Net issuance payments of debt
117.08%62M
-180.65%-525M
-145.35%-1.95B
2.37%-1.82B
-118.36%-426M
70.27%-363M
1,908.33%651M
81.03%-796M
-73.41%-1.86B
275.62%2.32B
Net common stock issuance
-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
-22.10%-1.29B
Net preferred stock issuance
--0
---485M
----
----
----
--0
--0
----
----
----
Cash dividends paid
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
10.51%-247M
Net other financing charges
-486.97%-1.53B
80.28%1.77B
4.95%6.72B
7.98%4.13B
307.17%1.87B
-125.94%-261M
-11.99%984M
51.74%6.41B
179.93%3.82B
-61.54%460M
Cash from discontinued financing activities
Financing cash flow
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
184.93%1.24B
Net cash flow
Beginning cash position
-9.48%1.86B
-0.54%2.2B
-8.69%2.22B
-18.51%2.03B
-42.82%1.56B
-24.59%2.06B
-8.69%2.22B
-24.86%2.43B
-11.93%2.5B
-10.88%2.73B
Current changes in cash
-38.06%319M
-96.25%-314M
104.26%4M
-10.47%-306M
76.32%-45M
787.93%515M
-150.79%-160M
87.23%-94M
66.05%-277M
-188.37%-190M
Effect of exchange rate changes
-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
-600.00%-42M
End cash position
-10.13%1.4B
-9.48%1.86B
-0.54%2.2B
-0.54%2.2B
-18.51%2.03B
-42.82%1.56B
-24.59%2.06B
-8.69%2.22B
-8.69%2.22B
-11.93%2.5B
Free cash flow
51.47%930M
4.43%519M
51.02%6.24B
871.26%1.62B
4.19%3.51B
9.84%614M
1,174.36%497M
-33.57%4.13B
-63.62%167M
14.05%3.37B
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
(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(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 10.47%1.03B4.43%519M51.02%6.24B871.26%1.62B-5.37%3.19B67.44%936M1,174.36%497M-33.57%4.13B-63.62%167M14.05%3.37B
Net income from continuing operations -125.93%-328M1,939.08%1.6B-65.60%3.88B-186.47%-473M2.79%3.17B-58.93%1.27B-101.91%-87M3.37%11.27B-89.25%547M77.72%3.09B
Operating gains losses -928.57%-348M4.32%459M-63.51%320M-222.67%-422M8,566.67%260M-91.53%42M1,194.12%440M117.06%877M108.81%344M100.44%3M
Other non cash items --892M-381.96%-891M67.32%-385M246.07%650M--------163.71%316M-13.49%-1.18B62.51%-445M-1,062.75%-491M
Change in working capital 175.23%732M-58.39%-1.99B71.31%-3.55B98.64%-36M16.37%-1.28B74.85%-973M70.90%-1.26B-457.12%-12.37B-181.79%-2.65B-331.92%-1.53B
-Change in loss and loss adjustment expense reserves 359.12%730M-55.16%1.35B141.52%1.59B69.21%-1.32B-575.00%-266M118.11%159M140.05%3.02B-185.80%-3.84B-214.74%-4.27B-94.04%56M
-Change in deferred acquisition costs 17.68%-582M27.71%-1.22B-14.76%-5.42B-19.98%-1.16B-58.10%-1.86B39.83%-707M-20.47%-1.69B4.97%-4.72B13.05%-966M-0.77%-1.18B
-Change in reinsurance recoverable on paid and unpaid losses -480.00%-38M33.23%-1.71B-88.13%472M-44.64%1.47B218.93%1.55B-99.39%10M-217.35%-2.56B481.03%3.98B282.88%2.66B157.14%486M
-Change in other working capital 242.99%622M-1,772.73%-412M97.51%-194M1,478.57%965M21.65%-702M87.41%-435M99.35%-22M-1,046.83%-7.79B-108.39%-70M-227.64%-896M
Cash from discontinued operating activities
Operating cash flow 51.47%930M4.43%519M51.02%6.24B871.26%1.62B4.19%3.51B9.84%614M1,174.36%497M-33.57%4.13B-63.62%167M14.05%3.37B
Investing cash flow
Cash flow from continuing investing activities 54.17%2.57B120.90%308M-93.63%-7.02B-116.68%-2.95B11.17%-4.26B-0.95%1.67B-272.80%-1.47B-10.55%-3.63B-282.30%-1.36B-275.22%-4.8B
Net investment purchase and sale 33.60%1.36B1,121.85%1.54B-461.28%-6.31B-456.04%-5.75B76.57%-1.42B-71.61%1.02B-105.75%-151M128.06%1.75B132.66%1.62B-907.97%-6.07B
Net proceeds payment for loan 12.81%1.17B-8.75%-1.14B45.06%-2.71B74.08%-303M-924.48%-2.39B142.26%1.04B34.00%-1.05B-560.72%-4.93B-326.64%-1.17B133.41%290M
Net business purchase and sale --0--0--3.32B--3.05B--266M---29M--32M--0--0--0
Net other investing changes 111.14%40M69.97%-91M-197.97%-1.32B103.21%58M-173.14%-716M-163.88%-359M-71.19%-303M55.48%-443M-670.03%-1.81B1,712.96%979M
Cash from discontinued investing activities
Investing cash flow -292.56%-1.6B120.90%308M-93.63%-7.02B-116.68%-2.95B28.51%-3.43B-50.45%833M-272.80%-1.47B-10.55%-3.63B-282.30%-1.36B-275.22%-4.8B
Financing cash flow
Cash flow from continuing financing activities -138.55%-3.42B-239.66%-1.14B229.90%782M11.34%1.02B-69.68%376M34.37%-1.43B241.59%817M83.64%-602M199.78%917M184.93%1.24B
Net issuance payments of debt 117.08%62M-180.65%-525M-145.35%-1.95B2.37%-1.82B-118.36%-426M70.27%-363M1,908.33%651M81.03%-796M-73.41%-1.86B275.62%2.32B
Net common stock issuance -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-22.10%-1.29B
Net preferred stock issuance --0---485M--------------0--0------------
Cash dividends paid 2.61%-261M-9.96%-265M-1.48%-1.03B-5.35%-256M-5.67%-261M-4.69%-268M9.06%-241M9.08%-1.01B10.33%-243M10.51%-247M
Net other financing charges -486.97%-1.53B80.28%1.77B4.95%6.72B7.98%4.13B307.17%1.87B-125.94%-261M-11.99%984M51.74%6.41B179.93%3.82B-61.54%460M
Cash from discontinued financing activities
Financing cash flow 206.55%993M-239.66%-1.14B229.90%782M11.34%1.02B-110.00%-124M57.29%-932M241.59%817M83.64%-602M199.78%917M184.93%1.24B
Net cash flow
Beginning cash position -9.48%1.86B-0.54%2.2B-8.69%2.22B-18.51%2.03B-42.82%1.56B-24.59%2.06B-8.69%2.22B-24.86%2.43B-11.93%2.5B-10.88%2.73B
Current changes in cash -38.06%319M-96.25%-314M104.26%4M-10.47%-306M76.32%-45M787.93%515M-150.79%-160M87.23%-94M66.05%-277M-188.37%-190M
Effect of exchange rate changes -331.25%-37M-1,550.00%-29M88.89%-13M900.00%24M-30.95%-55M127.12%16M115.38%2M-74.63%-117M88.89%-3M-600.00%-42M
End cash position -10.13%1.4B-9.48%1.86B-0.54%2.2B-0.54%2.2B-18.51%2.03B-42.82%1.56B-24.59%2.06B-8.69%2.22B-8.69%2.22B-11.93%2.5B
Free cash flow 51.47%930M4.43%519M51.02%6.24B871.26%1.62B4.19%3.51B9.84%614M1,174.36%497M-33.57%4.13B-63.62%167M14.05%3.37B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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