American International Group, Inc. (AIG)
NYSE: AIG · Real-Time Price · USD
75.81
-0.83 (-1.08%)
At close: Aug 17, 2026, 4:00 PM EDT
75.81
0.00 (0.00%)
After-hours: Aug 17, 2026, 6:03 PM EDT

AIG Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21
Investments in Debt Securities
72,13971,20571,77371,92769,58266,78164,75166,74363,099237,89065,905219,780227,471234,159230,641226,898239,633263,801283,480278,992
Investments in Equity & Preferred Securities
3,7344,5163,5284,2294,4754,4334,29076768811,4534,38951511,61611,24711,13110,88910,70510,6349,7399,835
Policy Loans
--45556661,75371,7681,7621,7471,7581,7731,7871,8161,8431,876
Other Investments
13,14612,25414,50114,37516,38716,88620,39026,21627,34818,23515,29729,09813,81616,39715,48017,83812,56413,18617,10117,379
Total Investments
91,20490,30792,44593,30193,37291,24292,83897,26394,707318,42589,507296,443301,780309,721303,781300,503309,654333,300355,502351,805
Cash & Equivalents
1,4901,4541,2741,5891,8251,3931,3021,4721,3811,8161,5401,9942,2831,9232,0432,2942,3782,5372,1982,699
Reinsurance Recoverable
38,79438,89937,99638,77039,15838,76638,04540,31940,66068,56539,13267,05870,15972,85569,72273,54774,47775,60274,28474,756
Other Receivables
13,89412,79511,63112,47814,27512,91011,78212,52613,00717,77811,28317,83419,88023,08521,01021,21322,35921,51718,37919,761
Deferred Policy Acquisition Cost
2,2172,1282,1062,1352,1512,0092,0652,1912,12312,1112,11711,99912,70213,30412,85715,82214,83812,91510,51410,607
Separate Account Assets
---------95,173-84,72489,71887,35784,85381,30286,735100,850109,111105,423
Property, Plant & Equipment
--690---696---744---880---1,000-
Goodwill
3,4223,4183,4353,4393,4533,3983,3733,4533,407-3,422---3,927---4,056-
Other Intangible Assets
--684---370---249---704---758-
Restricted Cash
7574715161570872147334069135173202350192229135
Other Current Assets
2,5492,7402,4482,5332,4782,5122,2212,4242,3764,136380,82415,36914,0591,4461,3103933576568435,184
Long-Term Deferred Tax Assets
4,8765,0625,0964,5674,7224,9624,9565,2785,56814,3766,18614,61214,10314,48014,80415,25014,35313,43511,71412,385
Long-Term Deferred Charges
------------------307-
Other Long-Term Assets
4,9434,6663,3784,5984,5214,6573,6044,4364,64011,6944,26911,44812,38512,3216,16412,40613,43712,5097,21712,045
Total Assets
163,464161,543161,254163,415165,971161,864161,322169,449167,890544,121539,306521,521537,138536,627522,228522,932538,938573,513596,112594,800
Accrued Expenses
1,5061,4941,5561,4901,8381,7611,5221,5201,395-1,351---------
Insurance & Annuity Liabilities
1,6231,6231,7371,8011,8451,7371,7351,9261,790217,4481,962210,249213,715211,059211,361212,458211,111210,864210,430208,717
Unpaid Claims
69,85269,96370,66669,88269,75468,89669,16871,06669,78370,06070,39369,82370,28475,79375,16775,51976,73978,18379,02679,274
Unearned Premiums
27,48625,39723,43925,77227,73825,43323,28425,64126,46717,83123,59418,40919,15220,81718,33820,37121,12021,76419,31321,245
Current Portion of Long-Term Debt
966283612-----250-1,0001,5252,132-1,5325167-34
Current Portion of Leases
--129-----------1,100-----
Current Income Taxes Payable
636652661572541481426422375-347---------
Long-Term Debt
8,1619,1289,1559,2319,2588,7538,92210,0549,94021,68510,60623,05522,62023,91227,17928,90028,38729,87130,16331,516
Long-Term Leases
--727---868---894-------1,200-
Separate Account Liability
---------95,173-84,72489,71887,35784,85381,30286,735100,850109,111105,423
Other Current Liabilities
6,3546,6666,4226,4756,4866,5666,3636,6813,74139,553372,50942,67844,54335,87930,61437,04840,20744,90751,03950,816
Other Long-Term Liabilities
6,2546,1635,5647,0636,9826,7786,4847,0669,92433,0116,34928,37029,09033,37230,16224,80127,76428,90426,91832,116
Total Liabilities
122,838121,114120,092122,298124,442120,405118,772124,376123,415495,011488,005478,308490,647490,321478,774481,931492,114515,410527,200529,141
Preferred Stock, Redeemable
----------485485485485485485485485485485
Common Stock
4,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,7664,766
Additional Paid-In Capital
75,34175,29775,37375,33475,28975,25175,34875,31075,27475,62575,81077,76477,67779,56279,91580,30181,67981,62081,85181,327
Retained Earnings
38,38837,70437,18636,69836,42435,54035,07934,42934,22538,46637,51637,68935,91634,69034,89333,00930,55027,76423,78520,320
Treasury Stock
-72,283-71,647-71,199-70,667-69,430-67,662-65,573-63,744-62,255-60,603-59,189-58,191-57,408-56,857-56,473-55,745-54,480-52,791-51,618-50,641
Comprehensive Income & Other
-5,606-5,715-4,987-5,046-5,548-6,464-7,099-5,722-7,565-14,869-14,037-22,529-18,982-19,329-22,616-23,793-17,656-5,9006,6878,606
Total Common Equity
40,60640,40541,13941,08541,50141,43142,52145,03944,44543,38544,86639,49941,96942,83240,48538,53844,85955,45965,47164,378
Minority Interest
2024233228282934305,7255,9503,2294,0372,9892,4841,9781,4802,1592,956796
Shareholders' Equity
40,62640,42941,16241,11741,52941,45942,55045,07344,47549,11051,30143,21346,49146,30643,45441,00146,82458,10368,91265,659
Total Liabilities & Equity
163,464161,543161,254163,415165,971161,864161,322169,449167,890544,121539,306521,521537,138536,627522,228522,932538,938573,513596,112594,800
Filing Date Shares Outstanding
522.89530.21536.56539.58554576.33593.33623.77643.95663.67680.95702.04711.9723.75737.25742.98760.42792.19814.76830.3
Total Common Shares Outstanding
524.72532.9538.18544.49559.76580.38606.16630.29649.86671.02688.84704.57717.52727.58734.13747.22771.27800.22818.69835.8
Total Debt
9,1279,15610,0479,2439,2588,7539,79010,0549,94021,93511,50024,05524,14526,04428,27930,43228,43829,93831,36331,550
Net Cash (Debt)
-7,637-7,702-8,773-7,654-7,433-7,360-8,488-8,582-8,559-20,119-9,960-22,061-21,862-24,121-26,236-28,138-26,060-27,401-29,165-28,851
Net Cash Growth (YoY)
--------------------
Net Cash Per Share
-14.31-14.21-16.06-13.70-12.86-12.28-13.54-13.26-12.83-29.24-14.07-30.69-29.93-32.42-34.75-36.49--33.17-33.45-33.39
Book Value Per Share
77.3975.8276.4475.4674.1471.3970.1571.4668.3964.6665.1356.0658.4958.8755.1551.5858.1669.3079.9777.03
Tangible Book Value
37,18436,98737,02037,64638,04838,03338,77841,58641,03843,38541,19539,49941,96942,83235,85438,53844,85955,45960,65764,378
Tangible Book Value Per Share
70.8669.4168.7969.1467.9765.5363.9765.9863.1564.6659.8056.0658.4958.8748.8451.5858.1669.3074.0977.03
SEC Filings: 10-K · 10-Q