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American International Group Inc. logo

American International Group Inc.

Sector: Financial Services   

Industry: Insurance - Diversified

74.63
 
USD
  
-0.34
  
(-0.45%)
Optionable: Yes  Market Cap: 51,024 M  90-day average vol: 4,048,415

Previous close: 74.97  Open: 74.68  Bid: 74.63  Ask: 75.28
52 week range    
48.95   
   78.95
Peers   
ACGL / 
AFG / 
SAFT / 
WTM / 
HMN / 
PUK / 
OB / 
Last updated: Friday 26th April 2024
54
MarketXLS Rank
65
Value
38
Technical
60
Quality

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Financials

AIG Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current liabilities2,637 M1,065 M-4,590 M461 M5,127 M-3,837 M1,593 M
(Increase) Decrease in other working capital-1,034 M-1,967 M-4 M-581 M467 M-1,005 M156 M-1,322 M156 M418 M
Acquisitions-5,717 M
AssetImpairmentCharge610 M1,500 M1,116 M685 M425 M299 M98 M46 M26 M90 M
CallsMaturitiesOfMaturitySecurities25,560 M24,734 M25,749 M29,011 M24,777 M25,488 M27,620 M34,765 M18,485 M17,957 M
Cash at beginning of period2,241 M1,758 M1,629 M2,107 M2,737 M3,358 M3,287 M3,230 M2,427 M2,216 M
Cash at end of period1,670 M1,629 M346 M2,604 M3,358 M1,838 M1,612 M2,427 M2,427 M2,216 M
Cash flow5,007 M2,877 M2,383 M-7,750 M99 M-1,945 M-7,487 M9,323 M4,052 M6,886 M
CashFlowFromContinuingInvestingActivities14,284 M8,462 M4,744 M14,041 M-223 M-5,475 M-6,202 M-3,280 M-3,626 M-7,021 M
CashFlowFromDiscontinuedOperation-68 M-38 M75 M8,525 M-3,044 M82 M-643 M
CashFromDiscontinuedOperatingActivities-68 M-38 M75 M8,525 M-3,044 M82 M-643 M
ChangeInDeferredAcquisitionCosts-5,880 M-5,808 M-5,216 M-4,819 M-5,832 M-5,403 M-4,292 M-4,906 M-4,722 M-5,419 M
ChangeInRestrictedCash-63 M
ChangeInWorkingCapital-6,914 M-7,775 M-5,220 M-2,763 M-4,300 M-11,061 M-3,675 M-1,101 M-8,403 M-3,408 M
CommonStockDividendPaid-712 M-1,028 M-1,372 M-1,172 M-1,138 M-1,114 M-1,103 M-1,083 M-982 M-997 M
CommonStockPayments-4,902 M-10,691 M-11,460 M-6,275 M-1,739 M-500 M-2,592 M-5,200 M-2,961 M
Depreciation4,448 M4,629 M4,090 M3,874 M5,362 M5,006 M4,120 M4,633 M4,409 M4,214 M
DepreciationAndAmortization4,448 M4,629 M4,090 M3,874 M5,362 M5,006 M4,120 M4,633 M4,409 M4,214 M
EarningsLossesFromEquityInvestments-1,394 M-481 M-54 M350 M363 M260 M246 M3 M-164 M-7 M
Effect of exchange rate changes-74 M-39 M52 M-29 M-11 M16 M49 M-67 M-117 M-13 M
FinancingCashFlow-19,788 M-11,429 M-6,833 M-5,697 M794 M5,809 M3,440 M-3,735 M-602 M782 M
Free cash flow5,007 M2,877 M2,383 M-7,818 M61 M-1,870 M1,038 M6,279 M4,134 M6,243 M
IncomeTaxPaidSupplementalData862 M746 M984 M
InterestPaidSupplementalData1,348 M1,127 M1,059 M
Issuance of capital stock485 M
Issuance of debt1,500 M
IssuanceOfCapitalStock485 M
IssuanceOfDebt-9,473 M-2,938 M1,872 M-342 M1,062 M-770 M2,273 M-4,040 M-478 M-322 M
Net cash from financing activities-19,788 M-11,429 M-6,833 M-5,697 M794 M5,809 M3,440 M-3,579 M-284 M2,413 M
Net cash from investing activities14,284 M8,462 M4,744 M14,041 M-223 M-5,475 M-6,202 M-3,280 M-3,626 M-7,021 M
Net cash from operating activities5,007 M2,877 M2,383 M-7,818 M61 M-1,870 M1,038 M6,279 M4,134 M6,243 M
Net change in cash & cash equivalents-571 M-129 M346 M497 M632 M-1,520 M-1,724 M2,198 M-94 M4 M
Net income from continuing operations7,574 M2,222 M-259 M-6,060 M103 M4,121 M-5,833 M9,923 M11,274 M3,878 M
NetBusinessPurchaseAndSale2,348 M2,809 M792 M-5,707 M2 M2,173 M4,683 M3,315 M
NetCommonStockIssuance-4,902 M-10,691 M-11,460 M-6,275 M-1,739 M485 M-500 M-2,592 M-5,200 M-2,961 M
NetInvestmentPropertiesPurchaseAndSale7,328 M12,335 M9,601 M14,778 M9,974 M1,845 M-5,265 M-7,963 M-3,626 M-10,336 M
NetInvestmentPurchaseAndSale7,328 M12,335 M9,601 M14,778 M9,974 M1,845 M-5,265 M-7,963 M-3,626 M-10,336 M
NetIssuancePaymentsOfDebt-9,473 M-2,938 M1,872 M-342 M1,062 M-770 M2,273 M-4,040 M-478 M-322 M
NetLongTermDebtIssuance-9,473 M-2,938 M1,872 M-342 M1,062 M-770 M2,273 M-4,040 M-1,978 M-322 M
NetPreferredStockIssuance485 M
Operating (gains) losses-711 M2,301 M2,656 M-3,565 M-1,934 M996 M-1,462 M-2,289 M-4,348 M438 M
Other financing charges net-4,701 M3,228 M4,127 M2,092 M2,609 M7,230 M5,072 M4,165 M6,405 M6,722 M
Other investing changes net-2,470 M-52 M-635 M-2,143 M200 M1,503 M6 M-995 M-443 M-1,320 M
Other non-cash items610 M1,500 M1,116 M764 M868 M-1,007 M-637 M-1,843 M1,120 M1,764 M
Payment of cash dividends712 M1,028 M1,372 M1,172 M1,138 M1,136 M1,132 M1,112 M1,011 M1,026 M
PreferredStockDividendPaid-22 M-29 M-29 M-29 M-29 M
PreferredStockIssuance485 M
Purchase of short term investments6,687 M6,867 M5,954 M3,356 M4,734 M734 M4,196 M107 M7,477 M1,982 M
PurchaseOfFixedMaturitySecurities-45,552 M-48,848 M-54,978 M-49,856 M-44,109 M-54,410 M-58,284 M-83,217 M-53,249 M-50,603 M
PurchaseOfInvestment-50,102 M-55,125 M-59,334 M-53,877 M-48,266 M-59,394 M-62,423 M-83,331 M-58,714 M-61,010 M
PurchaseOfPPE4,608 M-3,873 M-7,666 M-1,529 M-4,490 M-7,322 M-3,110 M4,342 M
Repayment of debt-16,160 M-9,805 M-4,082 M-3,698 M-3,672 M-1,504 M-1,923 M-4,147 M-9,455 M-2,304 M
RepaymentOfDebt-16,160 M-9,805 M-4,082 M-3,698 M-3,672 M-1,504 M-1,923 M-4,147 M-9,455 M-2,304 M
Repurchase of capital stock-4,902 M-10,691 M-11,460 M-6,275 M-1,739 M-500 M-2,592 M-5,200 M-2,961 M
SaleOfBusiness2,348 M2,809 M792 M10 M2 M2,173 M4,683 M3,315 M
SaleOfInvestment59,900 M67,512 M69,570 M70,798 M58,040 M59,736 M57,152 M76,363 M55,531 M51,994 M
ShortTermDebtIssuance1,500 M
UnrealizedGainLossOnInvestmentSecurities79 M443 M-1,306 M-735 M-1,889 M1,094 M1,674 M
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