US Stock MarketDetailed Quotes

American International Group (AIG)

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  • 75.770
  • +0.060+0.08%
Trading May 15 14:50 ET
40.17BMarket Cap13.34P/E (TTM)

American International Group (AIG) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Total investments
-1.14%90.79B
-0.66%92.94B
-0.66%92.94B
-4.32%93.85B
-1.59%93.97B
-71.50%91.84B
3.67%93.56B
3.67%93.56B
-67.34%98.08B
-68.87%95.49B
-Fixed maturity investments
-10.21%677M
-0.54%741M
-0.54%741M
-2.62%743M
-5.74%722M
-86.04%754M
12.37%745M
12.37%745M
-84.24%763M
-84.50%766M
-Equity investments
5.78%46.83B
6,361.08%45.49B
6,361.08%45.49B
-2.03%46.13B
3.61%45.64B
-71.66%44.27B
5.86%704M
5.86%704M
-67.88%47.09B
-71.54%44.05B
-Net loan
-24.73%2.81B
-25.36%2.89B
-25.36%2.89B
-22.68%3.31B
-19.02%3.52B
-92.88%3.74B
-12.90%3.87B
-12.90%3.87B
-91.58%4.29B
-91.58%4.35B
-Short term investments
1.10%33.45B
-52.64%37.13B
-52.64%37.13B
12.04%35.3B
8.13%34.09B
-64.08%33.09B
0.39%78.41B
0.39%78.41B
-61.53%31.5B
-60.27%31.53B
-Other invested assets
-29.76%7.02B
-31.87%6.7B
-31.87%6.7B
-42.10%8.36B
-32.47%9.99B
-37.49%9.99B
54.33%9.83B
54.33%9.83B
-10.05%14.44B
-7.96%14.79B
Cash and cash equivalents
4.38%1.45B
-2.15%1.27B
-2.15%1.27B
7.95%1.59B
32.15%1.83B
-23.29%1.39B
-15.45%1.3B
-15.45%1.3B
-26.18%1.47B
-39.51%1.38B
Restricted cash and cash equivalents
469.23%74M
1.43%71M
1.43%71M
-86.67%2M
-22.22%14M
-69.77%13M
118.75%70M
118.75%70M
-58.33%15M
-51.35%18M
Reinsurance recoverable
0.34%38.9B
-0.13%38B
-0.13%38B
-3.84%38.77B
-3.69%39.16B
-43.46%38.77B
-2.78%38.05B
-2.78%38.05B
-39.87%40.32B
-42.05%40.66B
Receivables
-0.43%11.63B
-0.21%10.44B
-0.21%10.44B
0.61%11.26B
11.52%13.01B
3.46%11.68B
4.98%10.46B
4.98%10.46B
-1.69%11.2B
-6.11%11.67B
-Accounts receivable
-0.43%11.63B
-0.21%10.44B
-0.21%10.44B
0.61%11.26B
11.52%13.01B
3.46%11.68B
4.98%10.46B
4.98%10.46B
-1.69%11.2B
-6.11%11.67B
Accrued investment income
7.77%680M
15.36%691M
15.36%691M
15.32%670M
19.01%670M
-76.61%631M
3.28%599M
3.28%599M
-77.43%581M
-77.53%563M
Deferred policy acquisition costs
5.92%2.13B
1.99%2.11B
1.99%2.11B
-2.56%2.14B
1.32%2.15B
-83.41%2.01B
-2.46%2.07B
-2.46%2.07B
-81.74%2.19B
-83.29%2.12B
Goodwill and other intangible assets
0.59%3.42B
1.84%3.44B
1.84%3.44B
-0.41%3.44B
1.35%3.45B
--3.4B
-10.08%3.37B
-10.08%3.37B
--3.45B
--3.41B
-Goodwill
0.59%3.42B
1.84%3.44B
1.84%3.44B
-0.41%3.44B
1.35%3.45B
--3.4B
-10.08%3.37B
-10.08%3.37B
--3.45B
--3.41B
Assets of discontinued operations
----
----
----
----
----
----
--0
--0
-99.02%137M
-98.54%185M
Other assets
3.31%7.41B
4.48%7.2B
4.48%7.2B
6.07%7.13B
2.46%7B
-46.67%7.17B
-1.26%6.89B
-1.26%6.89B
-47.47%6.72B
-50.32%6.83B
Total assets
-0.20%161.54B
-0.04%161.25B
-0.04%161.25B
-3.56%163.42B
-1.14%165.97B
-70.25%161.86B
-70.09%161.32B
-70.09%161.32B
-67.51%169.45B
-68.74%167.89B
Liabilities
Policy holders liabilities reserve
2.01%90.51B
2.56%90.39B
2.56%90.39B
-0.73%91.25B
1.48%91.64B
-72.19%88.72B
-1.78%88.14B
-1.78%88.14B
-70.11%91.92B
-71.16%90.31B
Payables
-9.52%11.58B
-4.50%10.7B
-4.50%10.7B
-6.34%11.37B
2.47%13.18B
-55.54%12.8B
-2.07%11.21B
-2.07%11.21B
-56.18%12.13B
-56.53%12.86B
-Accounts payable
-11.81%6.48B
-9.98%5.45B
-9.98%5.45B
-7.54%6.21B
-0.47%7.69B
--7.34B
-2.69%6.05B
-2.69%6.05B
--6.72B
--7.73B
-Total tax payable
-4.28%2.15B
13.81%2.22B
13.81%2.22B
6.18%2.06B
34.41%2.38B
--2.24B
14.72%1.95B
14.72%1.95B
--1.94B
--1.77B
-Other payable
-7.93%2.96B
-5.27%3.04B
-5.27%3.04B
-11.02%3.09B
-7.58%3.11B
-88.83%3.22B
-9.07%3.21B
-9.07%3.21B
-87.44%3.48B
-88.63%3.36B
Long term debt and capital lease obligation
4.60%9.16B
3.02%9.19B
3.02%9.19B
-8.07%9.24B
-6.86%9.26B
-59.64%8.75B
-15.88%8.92B
-15.88%8.92B
-56.39%10.05B
-56.11%9.94B
-Long term debt
4.60%9.16B
3.02%9.19B
3.02%9.19B
-8.07%9.24B
-6.86%9.26B
-59.64%8.75B
-15.88%8.92B
-15.88%8.92B
-56.39%10.05B
-56.11%9.94B
Non current deferred liabilities
----
----
----
----
----
----
22.77%426M
22.77%426M
--422M
--375M
Total deposits
10.46%3.61B
9.65%3.3B
9.65%3.3B
12.68%3.33B
19.30%3.32B
--3.27B
15.05%3.01B
15.05%3.01B
--2.96B
--2.78B
Other liabilities
-8.78%6.26B
-13.25%6.51B
-13.25%6.51B
-2.75%7.11B
-6.37%7.04B
-77.18%6.86B
-97.99%7.5B
-97.99%7.5B
-78.69%7.31B
-77.94%7.52B
Total liabilities
0.59%121.11B
1.11%120.09B
1.11%120.09B
-1.67%122.3B
0.83%124.44B
-75.68%120.41B
-75.66%118.77B
-75.66%118.77B
-74.00%124.38B
-74.85%123.42B
Shareholders'equity
Share capital
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
-9.24%4.77B
-9.24%4.77B
-9.24%4.77B
-9.24%4.77B
-common stock
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
0.00%4.77B
-Preferred stock
----
----
----
----
----
----
--0
--0
--0
--0
Paid-in capital
0.06%75.3B
0.03%75.37B
0.03%75.37B
0.03%75.33B
0.02%75.29B
-0.49%75.25B
-0.61%75.35B
-0.61%75.35B
-3.16%75.31B
-3.09%75.27B
Retained earnings
6.09%37.7B
6.01%37.19B
6.01%37.19B
6.59%36.7B
6.43%36.42B
-7.61%35.54B
-6.50%35.08B
-6.50%35.08B
-8.65%34.43B
-4.71%34.23B
Gains losses not affecting retained earnings
11.59%-5.72B
29.75%-4.99B
29.75%-4.99B
11.81%-5.05B
26.66%-5.55B
56.53%-6.46B
49.43%-7.1B
49.43%-7.1B
74.60%-5.72B
60.15%-7.57B
Less: Treasury stock
5.89%71.65B
8.58%71.2B
8.58%71.2B
10.86%70.67B
11.53%69.43B
11.65%67.66B
10.79%65.57B
10.79%65.57B
9.54%63.74B
8.44%62.26B
Total stockholders'equity
-2.48%40.41B
-3.25%41.14B
-3.25%41.14B
-8.78%41.09B
-6.62%41.5B
-4.50%41.43B
-6.24%42.52B
-6.24%42.52B
12.64%45.04B
4.69%44.45B
Noncontrolling interests
-14.29%24M
-20.69%23M
-20.69%23M
-5.88%32M
-6.67%28M
-99.51%28M
-99.51%29M
-99.51%29M
-98.95%34M
-99.26%30M
Total equity
-2.48%40.43B
-3.26%41.16B
-3.26%41.16B
-8.78%41.12B
-6.62%41.53B
-15.58%41.46B
-17.06%42.55B
-17.06%42.55B
4.30%45.07B
-4.34%44.48B
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
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Total investments -1.14%90.79B-0.66%92.94B-0.66%92.94B-4.32%93.85B-1.59%93.97B-71.50%91.84B3.67%93.56B3.67%93.56B-67.34%98.08B-68.87%95.49B
-Fixed maturity investments -10.21%677M-0.54%741M-0.54%741M-2.62%743M-5.74%722M-86.04%754M12.37%745M12.37%745M-84.24%763M-84.50%766M
-Equity investments 5.78%46.83B6,361.08%45.49B6,361.08%45.49B-2.03%46.13B3.61%45.64B-71.66%44.27B5.86%704M5.86%704M-67.88%47.09B-71.54%44.05B
-Net loan -24.73%2.81B-25.36%2.89B-25.36%2.89B-22.68%3.31B-19.02%3.52B-92.88%3.74B-12.90%3.87B-12.90%3.87B-91.58%4.29B-91.58%4.35B
-Short term investments 1.10%33.45B-52.64%37.13B-52.64%37.13B12.04%35.3B8.13%34.09B-64.08%33.09B0.39%78.41B0.39%78.41B-61.53%31.5B-60.27%31.53B
-Other invested assets -29.76%7.02B-31.87%6.7B-31.87%6.7B-42.10%8.36B-32.47%9.99B-37.49%9.99B54.33%9.83B54.33%9.83B-10.05%14.44B-7.96%14.79B
Cash and cash equivalents 4.38%1.45B-2.15%1.27B-2.15%1.27B7.95%1.59B32.15%1.83B-23.29%1.39B-15.45%1.3B-15.45%1.3B-26.18%1.47B-39.51%1.38B
Restricted cash and cash equivalents 469.23%74M1.43%71M1.43%71M-86.67%2M-22.22%14M-69.77%13M118.75%70M118.75%70M-58.33%15M-51.35%18M
Reinsurance recoverable 0.34%38.9B-0.13%38B-0.13%38B-3.84%38.77B-3.69%39.16B-43.46%38.77B-2.78%38.05B-2.78%38.05B-39.87%40.32B-42.05%40.66B
Receivables -0.43%11.63B-0.21%10.44B-0.21%10.44B0.61%11.26B11.52%13.01B3.46%11.68B4.98%10.46B4.98%10.46B-1.69%11.2B-6.11%11.67B
-Accounts receivable -0.43%11.63B-0.21%10.44B-0.21%10.44B0.61%11.26B11.52%13.01B3.46%11.68B4.98%10.46B4.98%10.46B-1.69%11.2B-6.11%11.67B
Accrued investment income 7.77%680M15.36%691M15.36%691M15.32%670M19.01%670M-76.61%631M3.28%599M3.28%599M-77.43%581M-77.53%563M
Deferred policy acquisition costs 5.92%2.13B1.99%2.11B1.99%2.11B-2.56%2.14B1.32%2.15B-83.41%2.01B-2.46%2.07B-2.46%2.07B-81.74%2.19B-83.29%2.12B
Goodwill and other intangible assets 0.59%3.42B1.84%3.44B1.84%3.44B-0.41%3.44B1.35%3.45B--3.4B-10.08%3.37B-10.08%3.37B--3.45B--3.41B
-Goodwill 0.59%3.42B1.84%3.44B1.84%3.44B-0.41%3.44B1.35%3.45B--3.4B-10.08%3.37B-10.08%3.37B--3.45B--3.41B
Assets of discontinued operations --------------------------0--0-99.02%137M-98.54%185M
Other assets 3.31%7.41B4.48%7.2B4.48%7.2B6.07%7.13B2.46%7B-46.67%7.17B-1.26%6.89B-1.26%6.89B-47.47%6.72B-50.32%6.83B
Total assets -0.20%161.54B-0.04%161.25B-0.04%161.25B-3.56%163.42B-1.14%165.97B-70.25%161.86B-70.09%161.32B-70.09%161.32B-67.51%169.45B-68.74%167.89B
Liabilities
Policy holders liabilities reserve 2.01%90.51B2.56%90.39B2.56%90.39B-0.73%91.25B1.48%91.64B-72.19%88.72B-1.78%88.14B-1.78%88.14B-70.11%91.92B-71.16%90.31B
Payables -9.52%11.58B-4.50%10.7B-4.50%10.7B-6.34%11.37B2.47%13.18B-55.54%12.8B-2.07%11.21B-2.07%11.21B-56.18%12.13B-56.53%12.86B
-Accounts payable -11.81%6.48B-9.98%5.45B-9.98%5.45B-7.54%6.21B-0.47%7.69B--7.34B-2.69%6.05B-2.69%6.05B--6.72B--7.73B
-Total tax payable -4.28%2.15B13.81%2.22B13.81%2.22B6.18%2.06B34.41%2.38B--2.24B14.72%1.95B14.72%1.95B--1.94B--1.77B
-Other payable -7.93%2.96B-5.27%3.04B-5.27%3.04B-11.02%3.09B-7.58%3.11B-88.83%3.22B-9.07%3.21B-9.07%3.21B-87.44%3.48B-88.63%3.36B
Long term debt and capital lease obligation 4.60%9.16B3.02%9.19B3.02%9.19B-8.07%9.24B-6.86%9.26B-59.64%8.75B-15.88%8.92B-15.88%8.92B-56.39%10.05B-56.11%9.94B
-Long term debt 4.60%9.16B3.02%9.19B3.02%9.19B-8.07%9.24B-6.86%9.26B-59.64%8.75B-15.88%8.92B-15.88%8.92B-56.39%10.05B-56.11%9.94B
Non current deferred liabilities ------------------------22.77%426M22.77%426M--422M--375M
Total deposits 10.46%3.61B9.65%3.3B9.65%3.3B12.68%3.33B19.30%3.32B--3.27B15.05%3.01B15.05%3.01B--2.96B--2.78B
Other liabilities -8.78%6.26B-13.25%6.51B-13.25%6.51B-2.75%7.11B-6.37%7.04B-77.18%6.86B-97.99%7.5B-97.99%7.5B-78.69%7.31B-77.94%7.52B
Total liabilities 0.59%121.11B1.11%120.09B1.11%120.09B-1.67%122.3B0.83%124.44B-75.68%120.41B-75.66%118.77B-75.66%118.77B-74.00%124.38B-74.85%123.42B
Shareholders'equity
Share capital 0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B-9.24%4.77B-9.24%4.77B-9.24%4.77B-9.24%4.77B
-common stock 0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B0.00%4.77B
-Preferred stock --------------------------0--0--0--0
Paid-in capital 0.06%75.3B0.03%75.37B0.03%75.37B0.03%75.33B0.02%75.29B-0.49%75.25B-0.61%75.35B-0.61%75.35B-3.16%75.31B-3.09%75.27B
Retained earnings 6.09%37.7B6.01%37.19B6.01%37.19B6.59%36.7B6.43%36.42B-7.61%35.54B-6.50%35.08B-6.50%35.08B-8.65%34.43B-4.71%34.23B
Gains losses not affecting retained earnings 11.59%-5.72B29.75%-4.99B29.75%-4.99B11.81%-5.05B26.66%-5.55B56.53%-6.46B49.43%-7.1B49.43%-7.1B74.60%-5.72B60.15%-7.57B
Less: Treasury stock 5.89%71.65B8.58%71.2B8.58%71.2B10.86%70.67B11.53%69.43B11.65%67.66B10.79%65.57B10.79%65.57B9.54%63.74B8.44%62.26B
Total stockholders'equity -2.48%40.41B-3.25%41.14B-3.25%41.14B-8.78%41.09B-6.62%41.5B-4.50%41.43B-6.24%42.52B-6.24%42.52B12.64%45.04B4.69%44.45B
Noncontrolling interests -14.29%24M-20.69%23M-20.69%23M-5.88%32M-6.67%28M-99.51%28M-99.51%29M-99.51%29M-98.95%34M-99.26%30M
Total equity -2.48%40.43B-3.26%41.16B-3.26%41.16B-8.78%41.12B-6.62%41.53B-15.58%41.46B-17.06%42.55B-17.06%42.55B4.30%45.07B-4.34%44.48B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------
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