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American International Group AIG Derivative Asset Notional Amount

Derivative Asset Notional Amount at other companies

Blackstone logo
BlackstoneBX
$2.24B+19.3%
Stifel Financial logo
Stifel FinancialSF
$1.8B-12.1%
M&T Bank logo
M&T BankMTB
$31.63B-3.6%
Kaltura, Inc. logo
Kaltura, Inc.KLTR
$6.03M-81.2%
Eastern Bankshares, Inc. logo
Eastern Bankshares, Inc.EBC
$1.64B-31.8%
The Hartford Financial Services Group logo
The Hartford Financial Services GroupHIG
$10.2B+37.5%

Other financials

Income statement

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Revenue$6.7B-2.0%
Net income$763.0M+9.3%
EPS (diluted)$1.41+21.6%

Balance sheet

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Cash & equivalents$1.5B+4.4%
Total debt$10.0B+2.6%
Total equity$40.4B-2.5%
Total assets$161.54B-0.2%

Cash flow

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Operating cash flow$155.0M+377%
CapEx$60.0M+14.3%
Free cash flow$1.5B+53.0%

Valuation

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Market cap$41.92B-8.2%
P/E13.3×-1.0×
P/S1.6×-0.1×

Profitability

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Net margin11.9%+8.6pp
FCF margin21.5%

Returns & leverage

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Return on equity7.7%+5.6pp
Debt / equity0.2×0.0×

Where this comes from

Reported directly by American International Group in its filing.

Tagged under the XBRL concept us-gaap:DerivativeAssetNotionalAmount.

The official record: American International Group’s 10-Q, filed May 1, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is American International Group's derivative asset notional amount?
American International Group (AIG) reported derivative asset notional amount of $3.62B in Q1 2026.
How has American International Group's derivative asset notional amount changed year-over-year?
American International Group's derivative asset notional amount decreased by 13.8% year-over-year, from $4.2B to $3.62B.
What is the long-term trend for American International Group's derivative asset notional amount?
Over 4 years (2020 to 2025), American International Group's derivative asset notional amount has grown at a -64.6% compound annual growth rate (CAGR), from $148.22B to $2.34B.
What does derivative asset notional amount mean?
The total face or contract value of derivative instruments held as assets, used as a reference for calculating payments. This metric represents the underlying exposure of the firm's derivative portfolio before netting or fair value adjustments.