American International Group, Inc.

NYSE:AIG

87.34 (USD) • At close June 6, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 2,7003,87811,27410,906-5,8334,121103-6,084-2592,2227,5299,0013,69918,83212,077-12,818-97,6346,20014,01410,4779,8758,1085,8665,3636,6396,1864,2823,7112,8972,510.42,175.51,918.11,6251,5531,442.31,367.5
Depreciation & Amortization 3,5974,2144,4094,5424,1205,0065,3623,8744,0904,6294,4484,7137,3497,37211,32012,07415,4453,9132,3742,2002,0351,8612,0881,4371,2431,130952885806734.6581.9472.2391.9325.100
Deferred Income Tax 000000000000000000000000000000000000
Stock Based Compensation 000000000000000000000000000000000000
Change In Working Capital -2,357-3,548-12,368-2,220-4,216-9,432-6,528-6,258-1,459-4,127-4,313-5,506-5,666-32,992-584-4,769-8,3982,720-20,18013,58119,66523,33923,7421,5491,3775,6402,642556,1594,362.2612,654.236-215.1296.3-76.6723.5-411.8
Accounts Receivables 0000000000000002,3900526-1841,664-3,9350-3,902-11,240-11,155-6,984-411-4,485.3-394.2337.8-123.8219.7391.429.4569.641.3
Inventory 000000000000000000000000000000000000
Accounts Payables 00000000000000000020,42515,25622,43223,85117,65610,55513,84711,196-4555,351.900000000
Other Working Capital -2,357-3,548-12,368-2,220-4,216-9,432-6,528-6,258-1,459-4,127-4,313-5,506-5,666-32,992-584-7,159-8,3982,194-40,421-3,3391,168-5129,9882,234-1,3151,4283,508-811.66,553.24,024.4612,778.036-434.8-95.1-106153.9-453.1
Other Non Cash Items -6671,699819-7,0056,967-1,5026696501,130153-2,657-2,343-1,7066,707-5,90324,09790,46522,33810,079-1,120-859-67-13,488452-178-313-437-1,218-287-398.88-22.8414,292.31,864.92,689.72,223.12,516.9
Operating Cash Flow 3,2736,2434,1346,2231,038-1,807-394-7,8183,5022,8775,0075,8653,676-8116,91018,584-12235,1716,28725,13830,71633,24118,2088,8019,08112,6437,4393,4339,5757,208.3815,388.7956,467.54,178.14,491.24,388.93,472.6
Investing Activities:
Investments In Property Plant And Equipment 00000000000000-267-341-4,817-5,642-7,106-6,193-4,860-5,460-6,226-4,415-3,432-3,365-3,160-3,435-3,254-3,619.919-3,196.55-2,800.2-1,996.5-1,370.2-612.9-346.6
Acquisitions Net 03,31504,6832,1732-5,7077922,80902,3480058721,7605,278-5,00000-501-1,836-479-9246215-516-40-39-53.552-79.59600000
Purchases Of Investments -25,352-30,211-44,945-79,406-67,348-63,027-48,266-53,877-62,423-55,125-50,102-72,621-81,420-98,555-98,344-83,131-181,032-212,858-211,469-200,046-201,971-188,713-156,790-157,211-79,575-89,968-60,239-49,685-33,523-28,317.927-27,567.643-17,972.3-16,999-10,593.1-10,554.9-7,284.1
Sales Maturities Of Investments 30,13744,56546,69173,18457,15259,73659,56472,89668,46368,67568,66084,93698,093101,81487,67878,985239,812168,893152,244166,782135,973138,204128,232133,40064,30668,07148,24644,31521,59517,318.69920,191.18713,118.112,8907,213.25,652.75,081.9
Other Investing Activites -3,113-24,690-5,372-1,7411,821-2,186-5,814-5,770-5,597-5,088-6,622-5,216-6132,602-21,0524,987-1,787-18,227-1,621-17,814-26,258-9,099-11,699-2,148-2,189-1,308-5381,4437663,453.7131,513.311-344.6-30.9-2,851.6-2,812.8-2,707.8
Investing Cash Flow 1,672-7,021-3,626-3,280-6,202-5,475-22314,0413,2528,46214,2847,09916,61236,448-10,2255,77847,176-67,834-67,952-57,321-97,115-66,904-46,962-31,298-20,828-26,555-16,207-7,402-14,455-11,218.986-9,139.291-7,999-6,136.4-7,601.7-8,327.9-5,256.6
Financing Activities:
Debt Repayment -1,387-1,953-796-4,1961,6186791,062-3421,872-2,938-9,473-8,962-2,489-24,670-11,838-20,971-63,03023,13437,49911,14212,9196,083-2,4218,5943,6642,9744,197134,706876.6331,921.736523.6856.1175.1438.7504.9
Common Stock Issued 000000000000025,34705,3447,3432061638215874168239144244406142320.51914.72113.313.311.76.77.9
Common Stock Repurchased -7,137-2,961-5,200-2,592-5000-1,739-6,275-11,460-10,691-4,902-597-13,000000-1,000-6,016-20-176-1,2830-784-2,290-1,402-700-81-645-494-17.646-178.676-13.1-82.1-12.7-14.3-0.6
Dividends Paid -1,024-1,026-1,011-1,112-1,132-1,136-1,138-1,172-1,372-1,028-712-2940-33600-1,628-1,881-1,638-1,421-730-584-467-743-776-709-324-267-174-153.572-136.116-123.9-116.7-107-95.7-82.9
Other Financing Activities 4,0006,7226,4054,2215,0727,7153,0642,0924,1273,228-4,701-1,905-5,075-36,5092,577-13,37017,58117,86425,24023,37255,23027,70432,75616,06410,21311,8855,1524,1457903,296.8052,047.5871,152.51,488.33,153.83,445.81,492.4
Financing Cash Flow -5,063782-602-3,6795,0587,2581,249-5,697-6,833-11,429-19,788-11,758-20,564-36,238-9,261-28,997-40,73433,30761,24432,99966,49433,07029,25223,11211,84313,6948,9843,9974,8514,022.7393,669.2521,552.42,158.93,220.93,781.21,921.7
Other Information:
Effect Of Forex Changes On Cash -83-13-117-674916-11-2955-39-74-921629395333850114-9289920-31-43900000000-212.5-57.184.8-99.3
Net Change In Cash -201-12-211-803-57-71621630-131-129-4831,090-323-84-2,842-4,2426,358694-307-1121,087-24346717696-21821628-2912.134-81.244-136.6-148.5-95.1-168.2-129.7
Cash At End Of Period 1,3722,2042,2162,4273,2303,2873,3582,7372,1071,6291,7582,2411,1511,4741,5584,4008,6422,2841,5901,8972,0099221,165698522426303875988.37176.23700000