AMERICAN INTERNATIONAL GROUP, INC.AIG

Market cap
$43.8B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income (loss)10,01318,5063,7009,0927,5242,222-349-6,056614,169-5,8299,92311,2753,878-926
(Income) loss from discontinued operations-2,0641,535-4,05284-50--904-42484--1--3,626
Net losses on sales of securities available for sale and other assets-------------959-970-637
Net (gain) loss on divestitures and other17,767-74-2-48-2,197-115456838-75-8,5253,044-82643616
(Gain) loss on extinguishment of debt--2,908-9-651-2,282-756-745-7-32-12-389-30337-14
Unrealized (gains) losses in earnings - net---------443-2077351,8891,392-1,674571
Equity in income from equity method investments, net of dividends or distributions1,2686379111,4841,39448154401-363-260-246-3164754
Depreciation and other amortization11,3209,8835,3074,7134,4484,6294,0903,8745,3625,0064,1204,6334,8484,2143,597
Impairments of assets------------269027
Insurance reserves--------1,065-5,2244615,127-2,3321,593341
Premiums and other receivables and payables - net------------10,193-391571
Reinsurance assets, net-------------2,843-472-727
Capitalization of deferred policy acquisition costs9,3217,7965,6135,8345,8805,8085,2164,8195,8325,4034,2924,9064,6495,4193,519
Current and deferred income taxes - net4,856-18,7521,122-4372,190548-3086,981-912-2,4341,3142,260-1,003468
Other, net-----1,9674597-4671,005-1561,322-340-418-197
Total adjustments-2,374-20,306-7,004-3,143-2,567-6552,642-2,525-42-5,0496,871-3,644-7,0692,365677
Net cash provided by operating activities - continuing operations9,703-3,3357485,865----------3,377
Net cash used in operating activities - discontinued operations7,2073,3702,928------------104
Net cash provided by operating activities16,910353,6765,8655,0072,8772,383-8,58561-9281,0386,2794,2076,2433,273
Available for sale securities-----------26,09821,66022,93314,063
Other securities-----6,0554,1643,7923,7557,9182,5339753,0601,347263
Other invested assets10,4957,93618,5526,4423,8848,0029,5547,6644,3654,1853,8966,2582,8912,3286,588
Divestitures, net21,760587--2,348-2,8097921022,1734,683-3,315587
Maturities of fixed maturity securities available for sale14,65720,13121,44926,04825,56024,73425,74929,01124,77725,48827,62034,76518,48517,9579,223
Proceeds from Sale and Collection of Mortgage Notes Receivable------------9,4357,4291,007
Available for sale securities-----------74,20438,88540,46622,990
Other securities-----2,7049351,1471,3181,6386172,0343,7141,581267
Other invested assets7,8506,6754,4637,2424,0783,5733,4212,8742,8393,3463,5223,1682,3462,189557
Mortgage and other loans receivable------------14,36410,137470
Net change in short-term investments-------------5956,6371,538
Other, net3324305261,1941,0231,5091,0202,143-200-1,503-69954431,32066
Net cash provided by (used in) investing activities - continuing operations-10,94331,85418,2827,099----------5,843
Net cash used in investing activities - discontinued operations7184,478-1,670------------4,171
Net cash provided by (used in) investing activities-10,22536,33216,6127,09914,2848,4624,74414,671-223-5,475-6,202-3,280-3,626-7,0211,672
Consolidated VIE------------933225-
Consolidated Entity, Excluding Consolidated VIE--------------661
Issuance of debt-----6,8675,9543,3564,7343,881--7,4771,982-
Consolidated VIE------------1,2516061
Consolidated Entity, Excluding Consolidated VIE--------------2,047
Repayments of debt-----9,8054,0823,6983,6723,202--9,4552,304-
Purchase of common stock-7013,0005974,90210,69111,4606,2751,739-5002,5925,2002,9616,652
Redemption of preferred stock--------------485
Dividends on preferred stock and preferred stock redemption premiums--------------22
Dividends on common stock---------1,1141,1031,0839829971,002
Other, net-579-1524,493-1,358-6,42081868-31-3,5701,6005411,2225451,664605
Net cash used in financing activities - continuing operations-5,545-34,984-20,432-11,758-----------8,943
Net cash provided by financing activities - discontinued operations-3,716-1,942-132-----------3,880
Net cash provided by (used in) financing activities-9,261-36,926-20,564-11,758-19,788-11,429-6,833-5,6977946,3795,058-3,735-676782-5,063
Effect of exchange rate changes on cash and restricted cash---------111649-67-117-13-83
Net decrease in cash and restricted cash--------621-8-57-803--9-201
Interest------------1,1271,059858
Taxes-1,002-----------746984708
Fixed maturity securities available for sale received in connection with pension risk transfer transactions------------1,1214,3171,316
Noncash Or Part Noncash Acquisition, Investments Acquired During Reinsurance Transaction------------110110256
Noncash Or Part Noncash, Securities Transferred In Connection With Reinsurance Transaction-------------224-838-148
Interest Credited To Policyholder Accounts Included In Financing Activities9,294-----------3,6064,5012,416
Fee income debited to policyholder contract deposits included in financing activities-------------1,694-2,122-1,426