AMERICAN INTERNATIONAL GROUP, INC.AIGCash flow

Market cap
$43.5B
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization11,3209,8835,3074,7134,4484,6294,0903,8745,3625,0064,1204,6334,8484,2143,597
Cash from operations 16,910353,6765,8655,0072,8772,383-8,58561-9281,0386,2794,2076,2433,377
Capital expenditures-267---------304-353-343-210-240-
Cash from investing -10,22536,33218,2827,09914,2848,4624,74414,671-223-5,475-6,202-3,280-3,626-7,0215,843
Payments for dividends ---2947121,0281,3721,1721,138------
Repurchases of common stock-7013,0005974,90210,69111,4606,2751,739-5002,5925,2002,9616,652
Proceeds from issuance of term debt, net-----6,8675,9543,3564,7343,881--7,4771,982-
Repayments of term debt-----9,8054,0823,6983,6723,202--9,4552,304-
Cash from financing -5,545-34,984-20,432-11,758-19,788-11,429-6,833-5,6977946,3795,058-3,735-676782-5,063
Free cash flow---------
FCF margin (%)---------