AIG Performance: -4.1% Return (12 Months)
AIG returned -4.0% over 12 months, underperforming the S&P 500 (25.4%). Volatility: 23.7%.
RS IBD
-14.69
Top 84% in Peers
Volatility
23.7%
Top 83% in Peers
Total Return 12m
-4.05%
Top 84% in Peers
RS Rating
28.16
Top 84% in Peers
P/E
| P/E Trailing | 14.3 |
| P/E Forward | 9.49 |
High / Low 52w
| 52 Week High | 86.08 USD |
| 52 Week Low | 71.47 USD |
Sentiment
| VRO Trend Strength ±100 | 74.87 |
| Buy Signal ±3 | 0.34 |
Drawdowns 3y
| Max Drawdown | 16.98% |
| Mean Drawdown | 5.01% |
Compare vs 15 peers in Multi-line Insurance
12m Total Return: AIG (-4.1%) vs PEER ETF
5y Drawdown (Underwater) Chart
Top Performer in Multi-line Insurance (5/15)
Short Term Performance
| SYMBOL | 1W | 1M | 3M |
|---|---|---|---|
| UNI | 4.52% | 13.73% | 5.39% |
| G | 1.17% | 10.12% | 4.05% |
| AIG | 3.05% | 0.72% | 3.64% |
| CS | 2.30% | 10.57% | 3.63% |
| AGN | 5.40% | 11.37% | 1.79% |
| TLX | 4.56% | 13.23% | 1.41% |
Long Term Performance
| SYMBOL | 6M | 12M | 5Y |
|---|---|---|---|
| UNI | 13.79% | 76.04% | 544.82% |
| MAP | -1.19% | 61.40% | 197.03% |
| ASRNL | 7.01% | 35.20% | 120.09% |
| G | 8.96% | 29.96% | 196.75% |
| L | 8.58% | 28.76% | 108.38% |
| AIG | -5.51% | -4.05% | 84.57% |
Overall Best Picks of Peer Group (GARP Metrics)
| SYMBOL | MCAP | 1M | 12M | 5Y | P/E | P/E fwd | PEG | EPS stab | EPS cagr |
|---|---|---|---|---|---|---|---|---|---|
| ASRNL AS ASR Nederland |
14.7B | 7.95% | 35.2% | 120% | 28.2 | 10.2 | - | -25.1% | -37.9% |
| MAP MC Mapfre |
14.0B | 11.7% | 61.4% | 197% | 10.6 | 8.88 | 2.59 | 58.3% | 32.0% |
Compare AIG vs S&P 500
Total Return vs S&P 500
| PERIOD | AIG | S&P 500 |
|---|---|---|
| 1 Week | 3.05% | 3.67% |
| 1 Month | 0.72% | 0.52% |
| 3 Months | 3.64% | -1.77% |
| 6 Months | -5.51% | 1.88% |
| 12 Months | -4.05% | 25.35% |
| 5 Years | 84.57% | 76.85% |
FAQ
Does AIG outperform the market?
No, AIG underperforms the market. Over the past 12 months, AIG returned -4.05% compared to 25.35% for the S&P 500.
What is the AIG return over the last 12 months?
AIG has returned -4.05% over the past 12 months, including dividends. Over 3 months the return was 3.64%, and over 5 years 84.57%.
How risky is AIG?
AIG has relatively low risk with a maximum drawdown of 16.98% over the past 3 years. The average drawdown is 5.01%.
AIG vs Sectors (12m)
Relative Performance vs S&P Sectors
Sorted by outperformance, Positive = AIG beats sector.
| SECTOR | ETF | DIFFERENCE 12M |
|---|---|---|
| Consumer Staples | XLP | -12.2% |
| Health Care | XLV | -13.6% |
| Financials | XLF | -14.4% |
| Real Estate | XLRE | -16.8% |
| Consumer Discretionary | XLY | -20.3% |
| Communication Services | XLC | -27.5% |
| Communication Services | XLC | -27.5% |
| Materials | XLB | -34.5% |
| Industrials | XLI | -41.7% |
| Technology | XLK | -44.2% |
| Energy | XLE | -47.7% |
AIG vs Asset Classes (12m)
Relative Performance vs Major Asset Classes
| ASSET CLASS | ETF | DIFFERENCE 12M |
|---|---|---|
| S&P 500 | SPY | -29.4% |
| Emerging Market | EEM | -53.9% |
| Gold | GLD | -57.5% |
| Long-Term Bonds | TLT | -6% |
| Risk-Free Cash | SHY | -7.6% |