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Financial Services - Insurance - Diversified - NYSE - US
$ 75.77
0.0264 %
$ 47.3 B
Market Cap
15.12
P/E
BALANCE SHEET
539 B ASSETS
2.41%
488 B LIABILITIES
0.74%
45.4 B EQUITY
13.37%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition American International Group, Inc.
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Current Assets 70.9 B
Cash & Short-Term Investments 19.4 B
Receivables 51.6 B
Other Current Assets 0
Non-Current Assets 273 B
Long-Term Investments 255 B
PP&E 0
Other Non-Current Assets 18 B
Current Liabilities 29.7 B
Accounts Payable 0
Short-Term Debt 250 M
Other Current Liabilities 29.5 B
Non-Current Liabilities 488 B
Long-Term Debt 0
Other Non-Current Liabilities 488 B

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992 Dec-1991 Dec-1990 Dec-1989 Dec-1988 Dec-1987 Dec-1986 Dec-1985
ASSETS
Cash & Cash Equivalents 2 155.0 2 043.0 2 198.0 2 827.0 2 856.0 2 873.0 2 362.0 1 868.0 1 629.0 1 758.0 2 241.0 1 151.0 1 474.0 1 558.0 4 400.0 8 642.0 2 284.0 1 590.0 1 897.0 2 009.0 922.0 1 165.0 698.0 256.0 132.0 303.0 86.9 58.7 88.4 76.2 0 0 0 0 0 0 0 0 0
Short Term Investments 248 933.0 238 532.0 290 559.0 289 699.0 264 316.0 239 065.0 249 378.0 253 839.0 258 377.0 271 102.0 279 891.0 298 767.0 22 572.0 42 185.0 47 075.0 46 666.0 51 351.0 25 249.0 412 369.0 390 949.0 325 563.0 266 065.0 224 967.0 110 131.0 96 989.0 63 861.0 3 332.5 2 008.1 2 272.5 2 467.5 0 0 0 0 0 0 0 0 0
Receivables 51 553.0 0 12 409.0 11 333.0 10 274.0 11 011.0 0 0 29 565.0 24 990.0 20 765.0 19 482.0 14 721.0 15 713.0 16 549.0 19 231.0 0 0 43 647.0 38 806.0 139.0 28 945.0 25 602.0 11 832.0 12 737.0 11 679.0 10 283.0 9 617.1 9 410.2 8 802.2 8 364.1 9 010.4 9 026.8 8 793.4 7 733.5 0 0 0 0
Inventory 0 (179 461.0) (37 837.0) (45 591.0) (39 378.0) (35 964.0) (245 957.0) (254 079.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 54 127.4 44 157.2 37 190.1 0 0 0 0
Total Current Assets 70 908.0 61 981.0 305 166.0 303 859.0 277 446.0 252 949.0 49 771.0 47 410.0 41 326.0 37 991.0 44 623.0 49 441.0 38 767.0 59 456.0 68 024.0 74 539.0 395.0 298.0 1 646.0 887.0 1 132.0 296 175.0 251 267.0 122 219.0 109 858.0 75 843.0 13 702.4 11 683.9 11 771.1 11 345.9 8 364.1 9 010.4 63 154.2 52 950.6 44 923.6 0 0 0 0
PP&E 0 1 593.0 289 918.0 287 496.0 262 731.0 240 594.0 2 522.0 2 660.0 3 135.0 0 0 0 0 2 845.0 4 142.0 5 566.0 5 518.0 4 381.0 36 245.0 32 705.0 30 343.0 26 867.0 22 710.0 19 325.0 17 334.0 16 330.0 2 342.2 2 122.8 1 822.1 1 865.2 10 171.1 8 103.0 6 102.6 5 057.5 1 088.5 0 0 0 0
Intangible Assets 0 16 316.0 11 383.0 10 747.0 12 393.0 13 623.0 11 100.0 11 042.0 1 613.0 9 827.0 9 436.0 8 182.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 132.7 135.0 130.8 0 0 0 0
Goodwill 3 539.0 3 927.0 4 056.0 4 074.0 4 038.0 4 082.0 1 594.0 1 528.0 1 613.0 1 454.0 1 475.0 1 469.0 0 1 333.0 6 195.0 6 952.0 9 414.0 8 628.0 8 093.0 8 601.0 7 633.0 6 079.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 254 902.0 243 592.0 297 576.0 296 046.0 271 839.0 251 733.0 264 447.0 270 397.0 278 995.0 296 258.0 307 004.0 327 225.0 314 666.0 307 902.0 461 897.0 468 099.0 567 088.0 473 336.0 470 982.0 438 003.0 350 742.0 284 619.0 246 615.0 144 334.0 127 349.0 95 732.0 60 246.5 56 699.0 50 542.4 42 997.5 0 0 0 0 0 0 0 0 0
Other Long Term Assets (272 886.0) (249 112.0) (301 632.0) (300 120.0) (275 877.0) (255 815.0) (268 563.0) (274 585.0) (283 743.0) (297 712.0) (308 479.0) (328 694.0) (314 666.0) (312 080.0) (472 234.0) (480 617.0) (582 020.0) (486 345.0) (515 320.0) (479 309.0) (388 718.0) (317 565.0) (269 325.0) (163 659.0) (144 683.0) (112 062.0) (62 588.7) (58 821.8) (52 364.5) (44 862.7) (10 171.1) (8 103.0) 0 0 0 0 0 0 0
Other Assets 195 512.0 449 509.0 (10 686.0) (17 498.0) (28 259.0) (16 780.0) 434 497.0 429 522.0 435 223.0 458 251.0 474 781.0 481 726.0 202 340.0 621 618.0 307 327.0 305 262.0 478 090.0 492 580.0 336 404.0 318 464.0 288 496.0 (52 511.0) (27 610.0) 20 699.0 13 697.0 6 493.0 87 679.5 77 925.3 70 000.8 58 137.5 82 479.6 62 721.8 0 0 0 37 408.7 27 907.7 21 022.9 15 570.7
Total Assets 539 306.0 526 634.0 596 112.0 586 481.0 525 064.0 491 984.0 498 301.0 498 264.0 496 943.0 515 581.0 541 329.0 548 633.0 555 773.0 683 443.0 847 585.0 860 418.0 1 060 505.0 979 223.0 853 370.0 798 660.0 678 346.0 561 229.0 492 982.0 306 577.0 268 238.0 194 398.0 163 970.7 148 431.0 134 136.4 114 346.1 101 014.8 79 835.2 69 389.5 58 143.1 46 142.9 37 408.7 27 907.7 21 022.9 15 570.7
LIABILITIES
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 0 2 829.0 4 393.0 2 133.0 8 946.0 8 776.0 3 564.0 3 661.0 2 915.0 3 273.0 3 207.0 2 794.0 2 254.0 2 283.0 1 702.6 1 832.6 1 886.4 1 462.5 0 0 0 0 0 0 0 0 0
Short Term Debt 250.0 1 500.0 0 0 0 0 0 0 0 0 0 0 0 0 0 613.0 13 114.0 13 029.0 9 208.0 9 693.0 5 938.0 9 112.0 11 892.0 5 964.0 4 404.0 4 636.0 3 374.9 4 498.0 3 166.6 3 789.6 0 0 1 963.9 3 928.0 1 805.9 0 0 0 0
Other Current Liabilities (250.0) 19 799.0 0 0 0 0 0 0 0 0 0 0 0 (2 829.0) (4 393.0) 102 604.0 (25 883.0) 179 373.0 (19 379.0) (20 396.0) (16 608.0) (5 082.0) 366 406.0 (10 828.0) 197 910.0 133 217.0 (6 133.6) 100 244.7 93 554.7 78 488.3 0 0 (1 963.9) (3 928.0) (1 805.9) 0 0 0 0
Total Current Liabilities 29 734.0 51 682.0 4 810.0 6 075.0 41 887.0 46 855.0 45 915.0 57 337.0 54 529.0 0 0 0 0 2 820.0 4 950.0 5 436.0 26 183.0 92 321.0 12 772.0 13 396.0 8 530.0 12 385.0 384 791.0 231 344.0 205 457.0 141 210.0 118 084.0 107 364.0 99 485.0 84 194.0 0 0 1 963.9 3 928.0 1 805.9 0 0 0 0
Long Term Debt 0 27 179.0 30 163.0 37 534.0 35 350.0 34 540.0 31 640.0 30 912.0 29 249.0 31 217.0 41 693.0 48 500.0 75 253.0 106 461.0 136 733.0 192 590.0 162 935.0 125 354.0 99 250.0 85 717.0 72 589.0 62 773.0 53 839.0 34 267.0 28 580.0 27 274.0 21 885.7 19 022.5 14 824.1 13 729.9 15 689.1 13 464.3 9 958.4 6 456.8 4 054.6 1 673.8 431.9 919.3 730.3
Deferred Tax Income 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 7 042.0 0 0 0 1 873.0 0 0 0 0 0 33.0 0 0 0 0 0 0 0 0 0
Other Liabilities 488 005.0 435 921.0 497 037.0 481 748.0 422 287.0 400 135.0 400 953.0 390 494.0 377 383.0 377 092.0 398 525.0 401 130.0 (77 063.0) 460 489.0 (136 733.0) 494 316.0 (162 935.0) 533 690.0 (99 250.0) (92 759.0) (72 589.0) (62 773.0) (53 839.0) (36 140.0) (28 580.0) (27 274.0) (21 885.7) (19 022.5) (14 824.1) (13 762.9) (15 689.1) (13 464.3) (9 958.4) (6 456.8) (4 054.6) (1 673.8) (431.9) (919.3) (730.3)
Total Liabilities 488 005.0 484 399.0 30 163.0 37 534.0 35 350.0 434 675.0 432 593.0 421 406.0 406 733.0 408 309.0 440 218.0 449 630.0 441 444.0 569 770.0 749 509.0 797 692.0 954 282.0 869 768.0 766 867.0 717 854.0 606 901.0 499 973.0 438 630.0 265 611.0 234 037.0 166 867.0 139 569.6 125 986.8 113 909.3 97 724.5 85 590.6 66 953.0 57 926.1 48 238.7 37 737.8 30 406.2 22 147.5 16 155.1 11 867.3
EQUITY
Common Stock 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 4 766.0 368.0 354.0 7 370.0 6 878.0 6 878.0 6 878.0 6 878.0 6 878.0 6 878.0 6 876.0 6 189.0 4 152.0 2 847.0 1 897.8 1 265.2 1 265.2 843.5 0 0 0 0 0 0 0 0 0
Retained Earnings 37 516.0 33 032.0 23 785.0 15 504.0 23 084.0 20 884.0 21 457.0 28 711.0 30 943.0 29 775.0 22 965.0 14 176.0 14 332.0 (3 466.0) (11 491.0) (12 368.0) 89 029.0 84 996.0 72 330.0 64 393.0 60 960.0 52 270.0 47 218.0 34 304.0 31 040.0 25 513.0 22 921.0 20 420.9 17 697.7 15 340.9 13 301.5 11 486.6 9 946.3 8 500.3 7 153.7 5 906.6 4 755.7 3 763.7 3 015.6
Other Accumulative Comprehensive Income/Loss (14 037.0) (22 092.0) 6 687.0 13 511.0 4 982.0 (1 413.0) 5 465.0 3 230.0 2 537.0 10 617.0 6 360.0 12 574.0 5 008.0 7 624.0 5 693.0 (6 328.0) 4 643.0 9 110.0 6 967.0 9 593.0 4 244.0 691.0 (1 725.0) (2 136.0) (2 103.0) (206.0) 172.1 885.1 939.0 (103.5) (348.2) (333.9) 0 (128.7) (190.0) 0 0 0 0
Total Equity 51 301.0 42 235.0 68 912.0 67 199.0 67 427.0 57 309.0 65 708.0 76 858.0 90 210.0 107 272.0 101 111.0 99 003.0 114 329.0 113 673.0 98 076.0 62 726.0 106 223.0 109 455.0 86 503.0 80 806.0 71 445.0 61 256.0 54 352.0 40 966.0 34 201.0 27 531.0 24 401.1 22 444.2 20 227.1 16 621.7 15 424.2 12 882.2 11 463.4 9 904.4 8 405.1 7 002.5 5 760.2 4 867.8 3 703.4
Total Liabilities and Equity 539 306.0 526 634.0 596 112.0 586 481.0 525 064.0 491 984.0 498 301.0 498 264.0 496 943.0 515 581.0 541 329.0 548 633.0 555 773.0 683 443.0 847 585.0 860 418.0 1 060 505.0 979 223.0 853 370.0 798 660.0 678 346.0 561 229.0 492 982.0 306 577.0 268 238.0 194 398.0 163 970.7 148 431.0 134 136.4 114 346.1 101 014.8 79 835.2 69 389.5 58 143.1 46 142.9 37 408.7 27 907.7 21 022.9 15 570.7
SHARES OUTSTANDING
Common Shares Outstanding 719.5 787.9 854.3 869.3 876.8 898.4 930.6 1 084.3 1 299.8 1 428.0 1 474.2 1 687.2 1 799.4 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9 787.9