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AIG - Financials Overview - American International Group Inc

Financials

We've grouped the latest 4 financial reports for AIG. You can view and compare their Income Statement, Balance Sheet, and Cash Flow.

Income Statement2018201920202021
Total Revenue$47.4B$49.7B$43.7B$52.1B
Cost of Revenue$73.4B$68.5B$66.0B$65.5B
Gross Margin-$26.0B-$18.7B-$22.2B-$13.5B
Research & Development----
Selling, General and Administrative----
Other Operating Expense----
Total Operating Expense----
Operating Income-$35.4B-$27.1B-$30.4B-$22.3B
Interest Income-$1.31B$2.03B$1.99B-$1.30B
Interest Expense$1.31B$1.42B$1.46B$1.31B
Net Interest Incomee-$1.31B-$1.42B-$1.46B-$1.30B
Other Income Expense----
Non-recurring Items----
Other Non-operating Income----
Income before Provision for income taxes$148M$4.51B-$7.40B$11.6B
Tax Provision$154M$1.17B-$1.46B$2.18B
Net Income-$6.00M$3.35B-$5.94B$9.39B
Effect of accounting charges----
Minority Interest----
Provision for income taxes----
Non-recurring items----
Other Items----
Discontinued Operations----
Preferred Stock Dividends----
EBIT$1.46B$5.93B-$5.95B$12.9B
Balance Sheet2018201920202021
otherNonCurrentAssets----
Assets
Cash, Cash Equivalents & Short-term investments$12.5B$16.1B$27.4B$22.6B
Cash & Cash Equivalents----
Other Short-term Investments$9.67B$13.2B$24.6B$20.4B
Receivables----
Inventory----
Other Current Assets-$249B-$228B$75.8B$76.5B
Total Current Assets$12.9B$16.4B$27.9B$23.1B
PPE$2.17B$1.95B$1.84B$1.71B
Non-current Marketable Securities--$363B$362B
total non-current assets$6.61B$20.1B$19.8B$18.8B
Goodwill$4.08B$4.04B$4.07B$4.06B
Other Intangible Assets$4.44B$4.37B$4.39B$4.36B
deferred long-term asset charges----
Total Assets$492B$525.06B$586.48B$596.11B
Liabilities
Accounts Payable----
Current Debt$1.39B$35.4B$9.43B-$17.3B
Other Current Liabilties$401B$412B$61.7B$60.1B
Total Current Liabilities$401B$426B$139B-$17.3B
Long Term Debt$34.5B$35.4B$37.5B$30.2B
Non-Current Deferred Liabilties----
Negative Goodwill----
Other Non-Current Liabilities$400B$422B$439B$456B
total non-current liabilities$34.5B$35.4B$37.5B$30.2B
Total capital lease obligations----
Total Liabilities$435B$458B$519.28B$527.2B
Shareholder's Equity
Common Stock----
Share premium----
Preferred Stock----
Retained Earnings----
Additional Paid-in Capital----
Gains/Losses not affecting retained earnings----
Treasury Stock$49.1B$49.0B$49.3B$51.6B
Total Shareholders' Equity$56.4B$65.7B$66.4B$66.0B
Total Liabilities and Shareholders' Equity----
Cash Flow2018201920202021
Cash from Operating Activities
Operating Activities-$394M-$1.81B$1.04B$6.28B
Other Operating Activities----
Change(increase) in Operating Activities----
Net Income-$6.00M$3.35B-$5.94B$9.39B
Depreciation----
Change in Liabilities----
Change in Inventory----
Change(increase) in Account Receivables----
Change(increase) in Receivables----
Cash from Investing Activities
Investment Activities-$223M-$5.47B-$6.20B-$3.28B
Other Investment Activities----
Investments----
Capital Expenditures$368M$304M$353M$343M
Cash from Financing Activities
Financing Activities$1.25B$7.26B$5.06B-$3.73B
Other Financing Activities----
Stock Sale and Purchase----
Dividends$1.14B$1.11B$1.13B$1.11B
Net Borrowings----
Change(increase) in Cash----
Change(increase) in Cash and Cash Equivalents$632M-$24.0M-$106M-$736M
Change(increase) in Net Income----
Change in Exchange Rate----
Data source(s): Alpha Vantage