American Intl

AIG

60.71

+0.21

+0.4%

After Hours:

60.71

0.00

0.0%

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Stock Price
Open: 60.37
Prev. Close: 60.50
Low/Hi: 60.21 - 61.01
52-Week: 57.35 - 67.47
Volumes
Equity: 4,397,188
90-Day Avg: 5,394,224
Option: 19,330
90-Day Avg: 11,088
Volatility
Todays Stock Vol: 12.3
20-Day (HV): 15.2
52-Week (HV): 15.8
30-Day IV: 15.1 -0.6
IV Pct Rank: 28% Subdued
Fundamental
Dividend: 1-Dec $0.32 (Est.)
Div. Yield: 2.1%
Earnings: 2-Nov (Est.)
P/E Ratio: 465.38
Market Cap: 54.7 B
Stock Type: Common
Sector: Financial
Industry: Property & Casualty Insurance
Stock Type: Common | Sector: Financial | Industry: Property & Casualty Insurance

AIG Cash Flow

Numbers are in thousands. Data provided by Sage Data Service.
Period Ending 30-Jun-2017 31-Mar-2017 31-Dec-2016 30-Sep-2016
Net Income 1,130,000 1,185,000 -3,041,000 462,000
Change in Working Capital -711,000 -12,397,000 2,719,000 158,000
Depreciation Amortization Depletion and Accretion 990,000 1,012,000 1,276,000 544,000
Deferred Taxes 0 0 0 0
Other Non-Cash Activities -315,000 -185,000 -895,000 47,000
Total Cash from Operating Activities 1,074,000 -10,359,000 630,000 1,182,000
Capital Expenditures 0 0 0 0
Other Investing Cash Flow 432,000 14,487,000 4,419,000 589,000
Total Cash from Investing Activities 432,000 14,487,000 4,419,000 589,000
Dividends and Distributions -290,000 -307,000 -321,000 -338,000
Purchase or Sale of Stock -2,415,000 -3,585,000 -2,954,000 -2,258,000
Purchase and Retirement of Debt 1,745,000 -131,000 -1,414,000 824,000
Other Financing Cash Flow -19,000 -25,000 -847,000 665,000
Total Cash from Financing Activities -979,000 -4,048,000 -5,536,000 -1,107,000
Exchange Rate Effects 58,000 -82,000 -36,000 50,000
Net Change in Cash 585,000 -2,000 -523,000 714,000
Period Ending 31-Dec-2016 31-Dec-2015 31-Dec-2014 31-Dec-2013
Net Income -849,000 2,196,000 7,529,000 9,085,000
Change in Working Capital -1,471,000 -4,127,000 -3,279,000 -5,093,000
Depreciation Amortization Depletion and Accretion 4,090,000 4,629,000 4,448,000 4,713,000
Deferred Taxes 0 0 0 -437,000
Other Non-Cash Activities 23,000 153,000 -3,736,000 -2,350,000
Total Cash from Operating Activities 2,383,000 2,877,000 5,007,000 5,841,000
Capital Expenditures 0 0 0 0
Other Investing Cash Flow 4,744,000 8,462,000 14,284,000 7,099,000
Total Cash from Investing Activities 4,744,000 8,462,000 14,284,000 7,099,000
Dividends and Distributions -1,372,000 -1,028,000 -712,000 -294,000
Purchase or Sale of Stock -11,460,000 -10,691,000 -4,902,000 -597,000
Purchase and Retirement of Debt 5,931,000 -528,000 -7,754,000 -9,509,000
Other Financing Cash Flow 68,000 818,000 -6,420,000 -1,358,000
Total Cash from Financing Activities -6,833,000 -11,429,000 -19,788,000 -11,758,000
Exchange Rate Effects 52,000 -39,000 -74,000 -92,000
Net Change in Cash 346,000 -129,000 -571,000 1,090,000