May 06, 2026 a 07:43 am

AIG: Fundamental Ratio Analysis - American International Group, Inc.

AIG Stock Image Alt Text

The AIG stock represents a robust player in the insurance industry with a diversified portfolio, encompassing both General and Life Insurance segments. Founded in 1919, AIG has established a strong foothold in North America and internationally. This analysis delves into AIG's current and historical financial performance, including analyst estimates and ratings.

Fundamental Rating

AIG has a solid fundamental rating with an overall score of 4. The company demonstrates balanced financial performance across various metrics.

Category Score Visual Representation
Discounted Cash Flow 4
Return On Equity 3
Return On Assets 5
Debt To Equity 3
Price To Earnings 2
Price To Book 3

Historical Rating

The historical assessment shows consistency in AIG’s financial scores.

Date Overall Score DCF ROE ROA Debt to Equity P/E P/B
2026-05-05 4 4 3 5 3 2 3
Previous 0 4 3 5 3 2 3

Analyst Price Targets

The analyst price targets for AIG stock highlight a consensus towards a 'Hold' rating, indicating a stable outlook.

High Low Median Consensus
$95 $80 $84 $85.63
AIG Stock Chart

Visual depiction of AIG stock's price forecast by analysts.

Analyst Sentiment

The analyst sentiment around AIG shows a predominance of 'Hold' recommendations.

Recommendation Count Distribution
Strong Buy 0
Buy 16
Hold 24
Sell 1
Strong Sell 0

Conclusion

AIG stands as a reliable entity in the insurance sector with consistent performance across multiple financial metrics. The current 'Hold' consensus by analysts reflects a balanced view, considering potential risks and steady returns. While the market offers competitive choices, AIG's strong foundational strategies may provide long-term stability. Investors should weigh these factors against market volatility. Overall, AIG remains a solid portfolio option for those seeking exposure to the diversified insurance market.

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