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American International Group Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Long-Term Debt  
20180930 20190331 20190630 20190930 20200331 20200630 20210630 20210930 20220331 20220630 20220930 20230331 20230630 20230930 20240331 20240630 20240930 20241231 20250331 20250630 05.1810.3715.5520.7425.9231.1136.29Billion

American International Group Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-09-30 2023-06-30 2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2020-06-30 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2017-03-31 2016-09-30 2016-06-30 2016-03-31 2015-09-30 2015-06-30 2015-03-31 2014-06-30 
                               
  assets:                             
  investments:                             
  fixed maturity securities:                             
  bonds available for sale, at fair value, net of allowance for credit losses of 45 in 2025 and 38 in 202468,860,000,000                             
  other bond securities, at fair value722,000,000 754,000,000 745,000,000 763,000,000 766,000,000          5,437,000,000 5,353,000,000 8,327,000,000 10,461,000,000 11,511,000,000 11,420,000,000 11,774,000,000 13,605,000,000 14,772,000,000 15,335,000,000 15,344,000,000 16,822,000,000 16,598,000,000 19,013,000,000 21,430,000,000 
  equity securities, at fair value775,000,000 733,000,000 704,000,000 767,000,000 688,000,000          679,000,000 624,000,000 771,000,000 880,000,000 841,000,000           
  mortgage and other loans receivable, net of allowance for credit losses of 37,742 in 2025 and 37,800 in 20243,520,000,000                             
  other invested assets9,987,000,000 9,987,000,000 9,828,000,000 14,440,000,000 14,788,000,000          17,692,000,000 17,966,000,000 19,486,000,000 19,454,000,000 19,343,000,000 19,739,000,000 20,648,000,000 23,652,000,000 25,747,000,000 27,345,000,000 28,480,000,000 31,123,000,000 29,829,000,000 34,838,000,000 33,645,000,000 
  short-term investments, including restricted cash of 2 in 2025 and 55 in 202410,102,000,000 10,601,000,000                            
  total investments93,966,000,000 91,839,000,000 93,613,000,000 98,084,000,000 95,485,000,000 322,216,000,000 300,319,000,000 306,758,000,000 314,937,000,000 306,087,000,000 315,062,000,000 337,870,000,000 355,596,000,000 359,539,000,000 350,151,000,000 332,336,000,000 340,993,000,000 334,928,000,000 324,863,000,000 316,063,000,000 319,758,000,000 315,505,000,000 346,368,000,000 350,667,000,000 342,846,000,000 346,401,000,000 348,579,000,000 356,813,000,000 369,976,000,000 
  cash1,825,000,000 1,393,000,000 1,302,000,000 1,472,000,000 1,381,000,000          3,408,000,000 2,738,000,000 3,361,000,000 2,935,000,000 2,565,000,000 2,741,000,000 2,135,000,000 1,918,000,000 2,498,000,000 1,784,000,000 1,499,000,000 1,569,000,000 1,937,000,000 1,823,000,000 1,827,000,000 
  accrued investment income670,000,000 631,000,000             2,294,000,000 2,312,000,000 2,391,000,000 2,359,000,000 2,482,000,000 2,524,000,000 2,449,000,000 2,386,000,000 2,608,000,000 2,590,000,000 2,657,000,000 2,696,000,000 2,632,000,000 2,726,000,000 2,846,000,000 
  premiums and other receivables, net of allowance for credit losses and disputes of 130 in 2025 and 127 in 202413,013,000,000                             
  reinsurance assets - fortitude re3,297,000,000 3,285,000,000                            
  reinsurance assets - other, net of allowance for credit losses and disputes of 227 in 2025 and 220 in 202435,861,000,000                             
  deferred income tax assets4,722,000,000 4,962,000,000 4,956,000,000 5,278,000,000 5,568,000,000                         
  deferred policy acquisition costs2,151,000,000 2,009,000,000 2,065,000,000 2,191,000,000 2,123,000,000 12,111,000,000 11,999,000,000 12,702,000,000 13,304,000,000 15,822,000,000 14,838,000,000 12,915,000,000 10,607,000,000 10,723,000,000 10,003,000,000 11,889,000,000 11,000,000,000 11,386,000,000 12,128,000,000 12,683,000,000 11,997,000,000 11,091,000,000 10,537,000,000 10,487,000,000 10,800,000,000 10,537,000,000 10,270,000,000 9,708,000,000 9,106,000,000 
  goodwill3,453,000,000 3,398,000,000 3,373,000,000 3,453,000,000 3,407,000,000                         
  deposit accounting assets, net of allowance for credit losses of 49 in 2025 and 49 in 20242,461,000,000 2,458,000,000                            
  other assets, including restricted cash of 14 in 2025 and 15 in 20244,552,000,000                             
  total assets165,971,000,000 161,864,000,000 161,322,000,000 169,449,000,000 167,890,000,000 544,121,000,000 521,521,000,000 537,138,000,000 536,627,000,000 522,932,000,000 538,938,000,000 573,513,000,000 594,800,000,000 598,250,000,000 569,388,000,000 510,477,000,000 525,122,000,000 522,269,000,000 512,922,000,000 504,860,000,000 496,829,000,000 500,162,000,000 514,568,000,000 510,349,000,000 502,777,000,000 501,985,000,000 509,987,000,000 520,701,000,000 529,109,000,000 
  liabilities:                             
  liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of 14 in 2025 and 14 in 202469,754,000,000 68,896,000,000                            
  unearned premiums20,045,000,000 18,090,000,000 17,232,000,000 18,926,000,000 18,738,000,000 17,831,000,000 18,409,000,000 19,152,000,000 20,817,000,000 20,371,000,000 21,120,000,000 21,764,000,000 21,245,000,000 21,487,000,000 20,103,000,000 20,128,000,000 19,959,000,000 20,621,000,000 20,812,000,000 20,829,000,000 19,676,000,000 19,840,000,000 21,047,000,000 22,165,000,000 22,060,000,000 22,686,000,000 22,786,000,000 22,437,000,000 23,694,000,000 
  future policy benefits1,443,000,000 1,342,000,000 1,317,000,000 1,471,000,000                          
  other policyholder funds402,000,000 395,000,000 418,000,000 455,000,000 435,000,000 3,315,000,000 3,365,000,000 3,430,000,000 3,461,000,000 3,928,000,000 3,835,000,000 3,768,000,000 3,542,000,000 3,516,000,000 3,447,000,000 3,460,000,000 3,440,000,000 3,488,000,000 3,493,000,000 3,738,000,000 3,482,000,000 3,719,000,000 4,418,000,000 4,292,000,000 4,203,000,000 4,192,000,000 4,378,000,000 4,415,000,000 4,809,000,000 
  fortitude re funds withheld payable3,109,000,000 3,215,000,000 3,207,000,000 3,477,000,000 3,364,000,000 28,789,000,000 27,691,000,000 29,588,000,000 30,368,000,000 30,424,000,000 32,970,000,000 36,481,000,000 40,888,000,000 41,403,000,000 42,033,000,000               
  premiums and other related payables7,693,000,000 7,343,000,000 6,052,000,000 6,715,000,000 7,729,000,000                         
  deposit accounting liabilities3,319,000,000 3,270,000,000 3,005,000,000 2,957,000,000 2,782,000,000                         
  commissions and premium taxes payable1,838,000,000 1,761,000,000 1,522,000,000 1,520,000,000 1,395,000,000                         
  current and deferred income tax liabilities541,000,000 481,000,000 426,000,000 422,000,000 375,000,000                         
  other liabilities7,040,000,000 6,859,000,000 7,503,000,000 7,235,000,000 7,366,000,000          28,624,000,000 29,183,000,000 27,297,000,000 28,336,000,000 27,546,000,000 26,653,000,000 27,059,000,000 28,093,000,000 27,983,000,000 27,393,000,000 27,423,000,000 26,565,000,000 23,934,000,000 26,024,000,000 29,610,000,000 
  long-term debt9,101,000,000 8,596,000,000 8,764,000,000 9,892,000,000 9,861,000,000      22,186,000,000 23,572,000,000 24,582,000,000 26,161,000,000 29,248,000,000 25,268,000,000 35,262,000,000 36,291,000,000 35,776,000,000 34,594,000,000 33,784,000,000 30,747,000,000 32,277,000,000 33,329,000,000 31,952,000,000 30,719,000,000 30,360,000,000 31,999,000,000 38,414,000,000 
  debt of consolidated investment entities157,000,000 157,000,000             10,032,000,000 10,142,000,000              
  total liabilities124,442,000,000 120,405,000,000 118,772,000,000 124,376,000,000 123,415,000,000 495,011,000,000 478,308,000,000 490,647,000,000 490,321,000,000 481,931,000,000 492,114,000,000 515,410,000,000 529,141,000,000 531,342,000,000 506,570,000,000 448,634,000,000 457,677,000,000 456,164,000,000 450,829,000,000 445,683,000,000 435,032,000,000 425,495,000,000 425,403,000,000 419,812,000,000 413,696,000,000 402,366,000,000 405,345,000,000 412,334,000,000 420,528,000,000 
  contingencies, commitments and guarantees                             
  aig shareholders’ equity:                             
  common stock4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000 4,766,000,000                   
  treasury stock-69,430,000,000 -67,662,000,000 -65,573,000,000 -63,744,000,000 -62,255,000,000 -60,603,000,000 -58,191,000,000 -57,408,000,000 -56,857,000,000 -55,745,000,000 -54,480,000,000 -52,791,000,000 -50,641,000,000 -49,634,000,000 -49,327,000,000 -49,334,000,000 -48,989,000,000 -48,991,000,000 -48,999,000,000 -48,401,000,000 -48,052,000,000 -44,915,000,000 -38,518,000,000 -36,262,000,000 -33,584,000,000 -26,881,000,000 -23,165,000,000 -20,820,000,000 -16,369,000,000 
  additional paid-in capital75,289,000,000 75,251,000,000 75,348,000,000 75,310,000,000 75,274,000,000 75,625,000,000 77,764,000,000 77,677,000,000 79,562,000,000 80,301,000,000 81,679,000,000 81,620,000,000 81,327,000,000 81,322,000,000 81,294,000,000 81,188,000,000 81,287,000,000 81,211,000,000 81,148,000,000 81,008,000,000 80,924,000,000 80,846,000,000 81,281,000,000 81,232,000,000 81,415,000,000 81,435,000,000 81,330,000,000 81,303,000,000 80,967,000,000 
  retained earnings36,424,000,000 35,540,000,000 35,079,000,000 34,429,000,000 34,225,000,000 38,466,000,000 37,689,000,000 35,916,000,000 34,690,000,000 33,009,000,000 30,550,000,000 27,764,000,000 20,320,000,000 18,935,000,000 15,847,000,000 24,062,000,000 22,439,000,000 22,077,000,000 21,259,000,000 21,749,000,000 23,318,000,000 29,591,000,000 32,077,000,000 31,951,000,000 30,396,000,000 33,122,000,000 33,707,000,000 32,073,000,000 27,286,000,000 
  accumulated other comprehensive loss-5,548,000,000 -6,464,000,000 -7,099,000,000 -5,722,000,000 -7,565,000,000 -14,869,000,000 -22,529,000,000 -18,982,000,000 -19,329,000,000                     
  total aig shareholders’ equity41,501,000,000 41,431,000,000 42,521,000,000 45,039,000,000 44,445,000,000 43,385,000,000 39,984,000,000 42,454,000,000 43,317,000,000 39,023,000,000 45,344,000,000 55,944,000,000 64,863,000,000 66,083,000,000 62,234,000,000 60,173,000,000 65,603,000,000 64,539,000,000 60,787,000,000 58,586,000,000 61,186,000,000 74,069,000,000 88,663,000,000 89,946,000,000 88,518,000,000 98,999,000,000 104,258,000,000 107,979,000,000 108,161,000,000 
  non-redeemable noncontrolling interests28,000,000 28,000,000 29,000,000 34,000,000 30,000,000 5,725,000,000 3,229,000,000 4,037,000,000 2,989,000,000 1,978,000,000 1,480,000,000 2,159,000,000 796,000,000 825,000,000 584,000,000 1,670,000,000 1,842,000,000 1,566,000,000 1,306,000,000 591,000,000 611,000,000 598,000,000 502,000,000 591,000,000 563,000,000 620,000,000 384,000,000 388,000,000 420,000,000 
  total equity41,529,000,000 41,459,000,000 42,550,000,000 45,073,000,000 44,475,000,000 49,110,000,000 43,213,000,000 46,491,000,000 46,306,000,000 41,001,000,000 46,824,000,000 58,103,000,000 65,659,000,000 66,908,000,000 62,818,000,000 61,843,000,000 67,445,000,000 66,105,000,000 62,093,000,000 59,177,000,000 61,797,000,000 74,667,000,000 89,165,000,000 90,537,000,000 89,081,000,000 99,619,000,000 104,642,000,000 108,367,000,000 108,581,000,000 
  total liabilities and equity165,971,000,000 161,864,000,000 161,322,000,000 169,449,000,000 167,890,000,000 544,121,000,000 521,521,000,000 537,138,000,000 536,627,000,000 522,932,000,000 538,938,000,000 573,513,000,000 594,800,000,000 598,250,000,000 569,388,000,000 510,477,000,000 525,122,000,000 522,269,000,000 512,922,000,000 504,860,000,000 496,829,000,000 500,162,000,000 514,568,000,000 510,349,000,000 502,777,000,000 501,985,000,000 509,987,000,000 520,701,000,000 529,109,000,000 
  bonds available for sale, at fair value, net of allowance for credit losses of 30 in 2025 and 38 in 2024 66,027,000,000                            
  mortgage and other loans receivable, net of allowance for credit losses of 37,791 in 2025 and 37,800 in 2024 3,737,000,000                            
  premiums and other receivables, net of allowance for credit losses and disputes of 129 in 2025 and 127 in 2024 11,684,000,000                            
  reinsurance assets - other, net of allowance for credit losses and disputes of 230 in 2025 and 220 in 2024 35,481,000,000                            
  other assets, including restricted cash of 13 in 2025 and 15 in 2024 4,724,000,000                            
  bonds available for sale, at fair value, net of allowance for credit losses of 38 in 2024 and 34 in 2023 (amortized cost: 2024 - 66,195; 2023 - 68,119)*  64,006,000,000                           
  mortgage and other loans receivable, net of allowance for credit losses of 37,800 in 2024 and 37,776 in 2023*  3,868,000,000                           
  short-term investments, including restricted cash of 55 in 2024 and 1 in 2023 (portion measured at fair value: 2024 - 9,789; 2023 - 9,363)*  14,462,000,000                           
  accrued investment income*  599,000,000 581,000,000 563,000,000 2,698,000,000 2,574,000,000 2,506,000,000 2,451,000,000 2,286,000,000 2,232,000,000 2,272,000,000 2,312,000,000 2,288,000,000                
  premiums and other receivables, net of allowance for credit losses and disputes of 127 in 2024 and 138 in 2023  10,463,000,000                           
  reinsurance assets - fortitude re, net of allowance for credit losses and disputes of 0 in 2024 and 0 in 2023  3,427,000,000 3,529,000,000 3,592,000,000 29,732,000,000                        
  reinsurance assets - other, net of allowance for credit losses and disputes of 220 in 2024 and 206 in 2023  34,618,000,000                           
  deposit accounting assets, net of allowance for credit losses of 49 in 2024 and 49 in 2023  2,171,000,000 2,185,000,000 2,132,000,000                         
  other assets, including restricted cash of 15 in 2024 and 32 in 2023 (portion measured at fair value: 2024 - 179; 2023 - 374)*  4,735,000,000                           
  assets held for sale   137,000,000 185,000,000 2,388,000,000 14,018,000,000 12,695,000,000              6,588,000,000 6,661,000,000       
  assets of discontinued operations                             
  liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of 14 in 2024 and 14 in 2023  69,168,000,000 71,066,000,000 69,783,000,000 70,060,000,000                        
  debt of consolidated investment entities*  158,000,000 162,000,000 79,000,000 2,617,000,000 2,717,000,000 2,793,000,000 3,944,000,000 5,924,000,000 6,252,000,000 6,366,000,000 6,968,000,000 9,566,000,000                
  liabilities held for sale   78,000,000 153,000,000 1,813,000,000 10,117,000,000 9,595,000,000              5,771,000,000 3,909,000,000       
  liabilities of discontinued operations                             
  series a non-cumulative preferred stock and additional paid in capital, 5.00 par value; 100,000,000 shares authorized; shares issued: 2024 - 0 and 2023 - 20,000; liquidation preference 500                             
  bonds available for sale, at fair value, net of allowance for credit losses of 40 in 2024 and 34 in 2023 (amortized cost: 2024 - 67,364; 2023 - 68,119)*   65,980,000,000                          
  mortgage and other loans receivable, net of allowance for credit losses of 37,803 in 2024 and 37,776 in 2023*   4,286,000,000                          
  short-term investments, including restricted cash of 72 in 2024 and 1 in 2023 (portion measured at fair value: 2024 - 8,822; 2023 - 9,363)*   11,848,000,000                          
  premiums and other receivables, net of allowance for credit losses and disputes of 133 in 2024 and 138 in 2023   11,196,000,000                          
  reinsurance assets - other, net of allowance for credit losses and disputes of 223 in 2024 and 206 in 2023   36,790,000,000                          
  other assets, including restricted cash of 15 in 2024 and 32 in 2023 (portion measured at fair value: 2024 - 231; 2023 - 374)*   4,553,000,000                          
  bonds available for sale, at fair value, net of allowance for credit losses of 33 in 2024 and 34 in 2023 (amortized cost: 2024 - 65,326; 2023 - 68,119)*    62,333,000,000                         
  mortgage and other loans receivable, net of allowance for credit losses of 37,799 in 2024 and 37,776 in 2023*    4,347,000,000                         
  short-term investments, including restricted cash of 3 in 2024 and 1 in 2023 (portion measured at fair value: 2024 - 8,137; 2023 - 9,363)*    12,563,000,000                         
  premiums and other receivables, net of allowance for credit losses and disputes of 126 in 2024 and 138 in 2023    11,669,000,000                         
  reinsurance assets - other, net of allowance for credit losses and disputes of 211 in 2024 and 206 in 2023    37,068,000,000                         
  other assets, including restricted cash of 18 in 2024 and 32 in 2023 (portion measured at fair value: 2024 - 189; 2023 - 374)*    4,717,000,000                         
  future policy benefits for life and accident and health insurance contracts    1,355,000,000 58,985,000,000 51,666,000,000 55,690,000,000 54,846,000,000 57,266,000,000 57,676,000,000 58,650,000,000 57,777,000,000 51,771,000,000 50,636,000,000 49,803,000,000 50,747,000,000 47,539,000,000 46,508,000,000 44,374,000,000 44,608,000,000 42,719,000,000 47,848,000,000 45,982,000,000 44,573,000,000 42,991,000,000 42,787,000,000 43,244,000,000 42,536,000,000 
  bonds available for sale, at fair value, net of allowance for credit losses of 125 in 2024 and 162 in 2023 (amortized cost: 2024 - 255,067; 2023 - 253,035)*     232,487,000,000                        
  other bond securities, at fair value (see note 6)*     5,403,000,000 4,840,000,000 4,941,000,000                      
  equity securities, at fair value (see note 6)*     797,000,000 515,000,000 660,000,000                      
  mortgage and other loans receivable, net of allowance for credit losses of 38,501 in 2024 and 38,473 in 2023*     52,475,000,000                        
  other invested assets (portion measured at fair value: 2024 - 11,510; 2023 - 11,733)*     15,977,000,000                        
  short-term investments, including restricted cash of 4 in 2024 and 4 in 2023 (portion measured at fair value: 2024 - 8,487; 2023 - 10,772)*     15,077,000,000                        
  cash*     1,816,000,000 1,994,000,000 2,283,000,000 1,923,000,000 2,294,000,000 2,378,000,000 2,537,000,000 2,699,000,000 2,760,000,000                
  premiums and other receivables, net of allowance for credit losses and disputes of 134 in 2024 and 139 in 2023     11,293,000,000                        
  reinsurance assets - other, net of allowance for credit losses and disputes of 224 in 2024 and 236 in 2023     38,833,000,000                        
  deferred income taxes     14,376,000,000 14,612,000,000 14,103,000,000 14,480,000,000 15,250,000,000 14,353,000,000 13,435,000,000 12,385,000,000 12,628,000,000 13,294,000,000 13,975,000,000 13,054,000,000 13,337,000,000 14,545,000,000 15,088,000,000 14,753,000,000 20,881,000,000 18,412,000,000 18,542,000,000 20,116,000,000 19,511,000,000 18,665,000,000 18,010,000,000 19,912,000,000 
  market risk benefit assets, at fair value     1,172,000,000 978,000,000 954,000,000 830,000,000                     
  other assets, net of allowance for credit losses of 49 in 2024 and 49 in 2023, including restricted cash of 43 in 2024 and 45 in 2023 (portion measured at fair value: 2024 - 705; 2023 - 754)*     12,313,000,000                        
  separate account assets, at fair value     95,173,000,000 84,724,000,000 89,718,000,000 87,357,000,000 81,302,000,000 86,735,000,000 100,850,000,000 105,423,000,000 107,306,000,000 88,742,000,000 78,836,000,000 89,125,000,000 90,311,000,000 88,818,000,000 93,045,000,000 90,746,000,000 85,917,000,000 82,626,000,000 80,572,000,000 79,532,000,000 77,136,000,000 82,135,000,000 82,139,000,000 75,718,000,000 
  policyholder contract deposits     163,698,000,000 159,737,000,000 159,572,000,000 157,896,000,000 157,612,000,000 156,557,000,000 156,476,000,000 156,623,000,000 161,112,000,000 155,852,000,000 154,067,000,000 151,964,000,000 148,521,000,000 145,380,000,000 140,491,000,000 138,964,000,000 132,639,000,000 132,808,000,000 131,936,000,000 130,007,000,000 126,641,000,000 124,480,000,000 124,935,000,000 123,354,000,000 
  market risk benefit liabilities, at fair value     5,167,000,000 4,519,000,000 4,977,000,000 5,144,000,000                     
  other liabilities (portion measured at fair value: 2024 - 493; 2023 - 624)*     28,245,000,000                        
  short-term and long-term debt, of which 250 and 250 is short-term debt in 2024 and 2023     19,318,000,000                        
  separate account liabilities     95,173,000,000 84,724,000,000 89,718,000,000 87,357,000,000 81,302,000,000 86,735,000,000 100,850,000,000 105,423,000,000 107,306,000,000 88,742,000,000 78,836,000,000 89,125,000,000 90,311,000,000 88,818,000,000 93,045,000,000 90,746,000,000 85,917,000,000 82,626,000,000 80,572,000,000 79,532,000,000 77,136,000,000 82,135,000,000 82,139,000,000 75,718,000,000 
  bonds available for sale, at fair value, net of allowance for credit losses of 138 in 2023 and 186 in 2022 (amortized cost: 2023 - 248,691; 2022 - 255,993)*      214,940,000,000                       
  mortgage and other loans receivable, net of allowance for credit losses of 38,521 in 2023 and 38,351 in 2022*      50,922,000,000                       
  other invested assets (portion measured at fair value: 2023 - 12,014; 2022 - 12,042)*      16,054,000,000                       
  short-term investments, including restricted cash of 4 in 2023 and 140 in 2022 (portion measured at fair value: 2023 - 6,459; 2022 - 5,708)*      13,048,000,000                       
  premiums and other receivables, net of allowance for credit losses and disputes of 141 in 2023 and 169 in 2022      11,388,000,000                       
  reinsurance assets - fortitude re, net of allowance for credit losses and disputes of 0 in 2023 and 0 in 2022      28,895,000,000 30,541,000,000 31,149,000,000                     
  reinsurance assets - other, net of allowance for credit losses and disputes of 275 in 2023 and 295 in 2022      38,163,000,000                       
  other assets, net of allowance for credit losses of 49 in 2023 and 49 in 2022, including restricted cash of 36 in 2023 and 33 in 2022 (portion measured at fair value: 2023 - 485; 2022 - 621)*      11,857,000,000                       
  liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of 14 in 2023 and 14 in 2022      69,823,000,000 70,284,000,000 75,793,000,000                     
  other liabilities (portion measured at fair value: 2023 - 351; 2022 - 343)*      24,202,000,000                       
  short-term and long-term debt, of which 1,000 and 1,500 is short-term debt in 2023 and 2022      21,338,000,000                       
  series a non-cumulative preferred stock and additional paid in capital, 5.00 par value; 100,000,000 shares authorized; shares issued: 2023 - 20,000 and 2022 - 20,000; liquidation preference 500      485,000,000 485,000,000 485,000,000                     
  bonds available for sale, at fair value, net of allowance for credit losses of 125 in 2023 and 186 in 2022 (amortized cost: 2023 - 249,235; 2022 - 255,993)*       222,530,000,000                      
  mortgage and other loans receivable, net of allowance for credit losses of 38,441 in 2023 and 38,351 in 2022*       51,605,000,000                      
  other invested assets (portion measured at fair value: 2023 - 12,105; 2022 - 12,042)*       16,067,000,000                      
  short-term investments, including restricted cash of 32 in 2023 and 140 in 2022 (portion measured at fair value: 2023 - 4,278; 2022 - 5,708)*       10,955,000,000                      
  premiums and other receivables, net of allowance for credit losses and disputes of 160 in 2023 and 169 in 2022       12,428,000,000                      
  reinsurance assets - other, net of allowance for credit losses and disputes of 271 in 2023 and 295 in 2022       39,618,000,000                      
  other assets, net of allowance for credit losses of 49 in 2023 and 49 in 2022, including restricted cash of 37 in 2023 and 33 in 2022 (portion measured at fair value: 2023 - 521; 2022 - 621)*       12,832,000,000                      
  other liabilities (portion measured at fair value: 2023 - 383; 2022 - 343)*       24,496,000,000                      
  short-term and long-term debt, of which 1,500 is short-term debt in 2023 and 2022       21,352,000,000 22,100,000,000                     
  bonds available for sale, at fair value, net of allowance for credit losses of 136 in 2023 and 186 in 2022 (amortized cost: 2023 - 254,179; 2022 - 255,993)*        229,397,000,000                     
  other bond securities, at fair value (see note 5)*        4,762,000,000 7,131,000,000 6,898,000,000 6,582,000,000 4,651,000,000 4,866,000,000                
  equity securities, at fair value (see note 5)*        591,000,000 608,000,000 629,000,000 695,000,000 1,035,000,000 1,079,000,000                
  mortgage and other loans receivable, net of allowance for credit losses of 38,421 in 2023 and 38,351 in 2022*        50,830,000,000                     
  other invested assets (portion measured at fair value: 2023 - 12,163; 2022 - 12,042)*        16,104,000,000                     
  short-term investments, including restricted cash of 105 in 2023 and 140 in 2022 (portion measured at fair value: 2023 - 6,866; 2022 - 5,708)*        13,253,000,000                     
  premiums and other receivables, net of allowance for credit losses and disputes of 175 in 2023 and 169 in 2022        15,523,000,000                     
  reinsurance assets - other, net of allowance for credit losses and disputes of 278 in 2023 and 295 in 2022        41,706,000,000                     
  other assets, net of allowance for credit losses of 49 in 2023 and 49 in 2022, including restricted cash of 30 in 2023 and 33 in 2022 (portion measured at fair value: 2023 - 726; 2022 - 621)*        12,967,000,000                     
  other liabilities (portion measured at fair value: 2023 - 367; 2022 - 343)*        28,595,000,000                     
  bonds available for sale, at fair value, net of allowance for credit losses of 115 in 2022 and 98 in 2021 (amortized cost: 2022 - 251,983; 2021 - 259,210)*         219,767,000,000                    
  mortgage and other loans receivable, net of allowance for credit losses of 655 in 2022 and 629 in 2021*         48,124,000,000                    
  other invested assets (portion measured at fair value: 2022 - 11,839; 2021 - 10,504)*         15,794,000,000                    
  short-term investments, including restricted cash of 133 in 2022 and 197 in 2021 (portion measured at fair value: 2022 - 5,344; 2021 - 4,426)*         14,663,000,000                    
  premiums and other receivables, net of allowance for credit losses and disputes of 176 in 2022 and 185 in 2021         13,476,000,000                    
  reinsurance assets - fortitude re, net of allowance for credit losses and disputes of 0 in 2022 and 0 in 2021         32,598,000,000 32,965,000,000 33,276,000,000                  
  reinsurance assets - other, net of allowance for credit losses and disputes of 345 in 2022 and 333 in 2021         40,949,000,000                    
  other assets, net of allowance for credit losses of 49 in 2022 and 49 in 2021, including restricted cash of 69 in 2022 and 32 in 2021 (portion measured at fair value: 2022 - 500; 2021 - 957)*         12,868,000,000                    
  liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of 14 in 2022 and 14 in 2021         75,519,000,000 76,739,000,000 78,183,000,000                  
  other liabilities (portion measured at fair value: 2022 - 276; 2021 - 586)*         25,077,000,000                    
  short-term and long-term debt, of which 1,502 is short-term debt in 2022         24,508,000,000                    
  series a non-cumulative preferred stock and additional paid in capital, 5.00 par value; 100,000,000 shares authorized; shares issued: 2022 - 20,000 and 2021 - 20,000; liquidation preference 500         485,000,000 485,000,000                   
  accumulated other comprehensive income         -23,793,000,000 -17,656,000,000 -5,900,000,000 8,606,000,000 10,209,000,000 9,169,000,000 -994,000,000 5,615,000,000 4,991,000,000 2,128,000,000 -536,000,000 230,000,000 3,781,000,000 9,057,000,000 8,259,000,000 5,525,000,000 6,557,000,000 7,620,000,000 10,657,000,000 11,511,000,000 
  bonds available for sale, at fair value, net of allowance for credit losses of 175 in 2022 and 98 in 2021 (amortized cost: 2022 - 252,877; 2021 - 259,210)*          232,735,000,000                   
  mortgage and other loans receivable, net of allowance for credit losses of 603 in 2022 and 629 in 2021*          49,314,000,000                   
  other invested assets (portion measured at fair value: 2022 - 11,709; 2021 - 10,504)*          16,040,000,000                   
  short-term investments, including restricted cash of 281 in 2022 and 197 in 2021 (portion measured at fair value: 2022 - 3,431; 2021 - 4,426)*          9,446,000,000                   
  premiums and other receivables, net of allowance for credit losses and disputes of 180 in 2022 and 185 in 2021          15,000,000,000                   
  reinsurance assets - other, net of allowance for credit losses and disputes of 342 in 2022 and 333 in 2021          41,512,000,000 42,326,000,000                  
  other assets, net of allowance for credit losses of 49 in 2022 and 49 in 2021, including restricted cash of 69 in 2022 and 32 in 2021 (portion measured at fair value: 2022 - 464; 2021 - 957)*          13,863,000,000                   
  other liabilities (portion measured at fair value: 2022 - 280; 2021 - 586)*          28,044,000,000                   
  bonds available for sale, at fair value, net of allowance for credit losses of 191 in 2022 and 98 in 2021                             
  (amortized cost: 2022 - 259,480; 2021 - 259,210)*           257,219,000,000                  
  mortgage and other loans receivable, net of allowance for credit losses of 617 in 2022 and 629 in 2021*           47,470,000,000                  
  other invested assets (portion measured at fair value: 2022 - 11,687; 2021 - 10,504)*           16,186,000,000                  
  short-term investments, including restricted cash of 152 in 2022 and 197 in 2021                             
  (portion measured at fair value: 2022 - 3,430; 2021 - 4,426)*           9,718,000,000                  
  premiums and other receivables, net of allowance for credit losses and disputes of 184 in 2022 and 185 in 2021           14,827,000,000                  
  other assets, net of allowance for credit losses of 49 in 2022 and 49 in 2021, including restricted cash of 40 in 2022                             
  and 32 in 2021 (portion measured at fair value: 2022 - 764; 2021 - 957)*           13,205,000,000                  
  other liabilities (portion measured at fair value: 2022 - 396; 2021 - 586)*           29,300,000,000                  
  series a non-cumulative preferred stock and additional paid in capital, 5.00 par value; 100,000,000 shares                             
  authorized; shares issued: 2022 - 20,000 and 2021 - 20,000; liquidation preference 500           485,000,000                  
  2021 - 1,906,671,492           4,766,000,000                  
  bonds available for sale, at fair value, net of allowance for credit losses of 66 in 2021 and 186 in 2020                             
  (amortized cost: 2021 - 254,925; 2020 - 244,337)*            274,341,000,000                 
  mortgage and other loans receivable, net of allowance for credit losses of 641 in 2021 and 814 in 2020*            45,821,000,000                 
  other invested assets (portion measured at fair value: 2021 - 10,037; 2020 - 8,422)*            15,977,000,000                 
  short-term investments, including restricted cash of 77 in 2021 and 180 in 2020                             
  (portion measured at fair value: 2021 - 5,640; 2020 - 5,968)*            13,771,000,000                 
  premiums and other receivables, net of allowance for credit losses and disputes of 194 in 2021 and 205 in 2020            13,593,000,000                 
  reinsurance assets - fortitude re, net of allowance for credit losses and disputes of 0 in 2021 and 0 in 2020            33,694,000,000 34,092,000,000                
  reinsurance assets - other, net of allowance for credit losses and disputes of 339 in 2021 and 326 in 2020            41,062,000,000                 
  other assets, net of allowance for credit losses of 49 in 2021 and 49 in 2020, including restricted cash of 58 in 2021                             
  and 223 in 2020 (portion measured at fair value: 2021 - 998; 2020 - 887)*            17,429,000,000                 
  liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of 14 in 2021 and 14 in 2020            79,274,000,000 78,981,000,000                
  other liabilities (portion measured at fair value: 2021 - 703; 2020 - 570)*            32,819,000,000                 
  authorized; shares issued: 2021 - 20,000 and 2020 - 20,000; liquidation preference 500            485,000,000 485,000,000                
  2020 - 1,906,671,492            4,766,000,000 4,766,000,000                
  bonds available for sale, at fair value, net of allowance for credit losses of 97 in 2021 and 186 in 2020                             
  (amortized cost: 2021 - 251,620; 2020 - 244,337)*             273,070,000,000                
  mortgage and other loans receivable, net of allowance for credit losses of 701 in 2021 and 814 in 2020*             45,216,000,000                
  other invested assets (portion measured at fair value: 2021 - 9,580; 2020 - 8,422)*             20,139,000,000                
  short-term investments, including restricted cash of 59 in 2021 and 180 in 2020                             
  (portion measured at fair value: 2021 - 5,523; 2020 - 5,968)*             15,169,000,000                
  premiums and other receivables, net of allowance for credit losses and disputes of 198 in 2021 and 205 in 2020             14,303,000,000                
  reinsurance assets - other, net of allowance for credit losses and disputes of 325 in 2021 and 326 in 2020             41,344,000,000                
  other assets, net of allowance for credit losses of 49 in 2021 and 49 in 2020, including restricted cash of 242 in 2021                             
  and 223 in 2020 (portion measured at fair value: 2021 - 1,145; 2020 - 887)*             13,267,000,000                
  other liabilities (portion measured at fair value: 2021 - 741; 2020 - 570)*             30,039,000,000                
  bonds available for sale, at fair value, net of allowance for credit losses of 198 in 2020                             
  mortgage and other loans receivable, net of allowance for credit losses of 794 in 2020 and 438 in 2019              46,522,000,000               
  short-term investments, including restricted cash of 197 in 2020 and 188 in 2019                             
  premiums and other receivables, net of allowance for credit losses and disputes of 212 in 2020 and 178 in 2019              12,829,000,000               
  reinsurance assets - fortitude re, net of allowance for credit losses and disputes of 0 in 2020              34,556,000,000               
  reinsurance assets - other, net of allowance for credit losses and disputes of 312 in 2020 and 151 in 2019              40,656,000,000               
  other assets, net of allowance for credit losses of 52 in 2020, including restricted cash of 247 in 2020 and 243 in 2019                             
  liability for unpaid losses and loss adjustment expenses, net of allowance for credit losses of 14 in 2020              77,853,000,000 77,747,000,000              
  authorized; shares issued: 2020 - 20,000 and 2019 - 20,000; liquidation preference 500              485,000,000 485,000,000              
  2019 - 1,906,671,492              4,766,000,000 4,766,000,000              
  see accompanying notes to condensed consolidated financial statements.                             
  bonds available for sale, at fair value                253,221,000,000 245,561,000,000 238,201,000,000 232,720,000,000 228,673,000,000 230,698,000,000 260,649,000,000 262,089,000,000 253,785,000,000 252,954,000,000 255,066,000,000 260,822,000,000 266,304,000,000 
  mortgage and other loans receivable, net of allowance for credit losses of 787 in 2020 and 438 in 2019               46,844,000,000              
  short-term investments, including restricted cash of 324 in 2020 and 188 in 2019                             
  premiums and other receivables, net of allowance for credit losses and disputes of 210 in 2020 and 178 in 2019               12,072,000,000              
  reinsurance assets, net of allowance for credit losses and disputes of 310 in 2020 and 151 in 2019               39,927,000,000              
  other assets, net of allowance for credit losses of 52 in 2020, including restricted cash of 257 in 2020 and 243 in 2019                             
  mortgage and other loans receivable, net of allowance                45,075,000,000 43,556,000,000 43,834,000,000 41,878,000,000 39,978,000,000 33,878,000,000 32,413,000,000 31,261,000,000 30,676,000,000 28,236,000,000 27,143,000,000 25,313,000,000 22,937,000,000 
  short-term investments, including restricted cash of 64 in 2019 and 142 in 2018                             
  premiums and other receivables, net of allowance                11,786,000,000 12,614,000,000 12,655,000,000 12,238,000,000 10,860,000,000 11,130,000,000 11,606,000,000 12,078,000,000 12,414,000,000 12,078,000,000 13,258,000,000 13,450,000,000 14,077,000,000 
  reinsurance assets, net of allowance                39,483,000,000 40,520,000,000 40,558,000,000 37,178,000,000 34,497,000,000 34,140,000,000 21,706,000,000 21,441,000,000 21,332,000,000 20,542,000,000 21,361,000,000 22,208,000,000 24,631,000,000 
  other assets, including restricted cash of 345 in 2019 and 343 in 2018                             
  liability for unpaid losses and loss adjustment expenses                79,883,000,000 81,057,000,000 82,496,000,000 81,959,000,000 76,713,000,000 76,050,000,000 72,487,000,000 74,143,000,000 73,946,000,000 71,436,000,000 72,939,000,000 74,490,000,000  
  authorized; shares issued: 2019 - 20,000 and 2018 - 0; liquidation preference 500                485,000,000 485,000,000 485,000,000           
  2018 - 1,906,671,492                4,766,000,000 4,766,000,000 4,766,000,000           
  short-term investments, including restricted cash of 18 in 2019 and 142 in 2018                             
  other assets, including restricted cash of 232 in 2019 and 343 in 2018                             
  short-term investments, including restricted cash of 251 in 2019 and 142 in 2018                             
  other assets, including restricted cash of 363 in 2019 and 343 in 2018                             
  equity securities:                             
  common and preferred stock available for sale, at fair value                     2,099,000,000 1,544,000,000 1,642,000,000 2,770,000,000 3,792,000,000 4,755,000,000 3,766,000,000 4,048,000,000 
  other common and preferred stock, at fair value                   1,443,000,000 1,675,000,000 500,000,000 498,000,000 661,000,000 877,000,000 1,066,000,000 1,323,000,000 1,100,000,000 724,000,000 
  short-term investments, including restricted cash of 2018 - 28; 2017 - 58                             
  other assets, including restricted cash of 354 in 2018 and 317 in 2017                             
  2017 - 1,906,671,492                   4,766,000,000 4,766,000,000         
  short-term investments, including restricted cash of 2018 - 18; 2017 - 58                             
  other assets, including restricted cash of 227 in 2018 and 317 in 2017                             
  short-term investments                     11,073,000,000 10,745,000,000 12,334,000,000 10,914,000,000 12,408,000,000 13,865,000,000 11,961,000,000 20,888,000,000 
  other assets, including restricted cash of 213 in 2017 and 193 in 2016                             
  2016 - 1,906,671,492                     4,766,000,000        
  other assets, including restricted cash of 196 in 2016 and 170 in 2015                             
  2015 - 1,906,671,492                      4,766,000,000 4,766,000,000 4,766,000,000     
  other assets, including restricted cash of 191 in 2016 and 170 in 2015                       12,188,000,000      
  other assets, including restricted cash of 181 in 2016 and 170 in 2015                        11,581,000,000     
  other assets, including restricted cash of 247 in 2015 and 2,025 in 2014                         11,515,000,000    
  2014 - 1,906,671,492                         4,766,000,000 4,766,000,000 4,766,000,000  
  derivative assets, at fair value                          1,256,000,000 1,621,000,000 1,617,000,000 
  other assets, including restricted cash of 461 in 2015 and 2,025 in 2014                          9,894,000,000   
  derivative liabilities, at fair value                          1,546,000,000 2,651,000,000 2,416,000,000 
  other assets, including restricted cash of 2,072 in 2015 and 2,025 in 2014                           12,203,000,000  
  other assets, including restricted cash of 1,206 in 2014 and 865 in 2013 (portion measured at fair value:                             
  2014 - 0; 2013 - 418)                            9,399,000,000 
  assets held-for-sale                             
  liability for unpaid claims and claims adjustment expense                            79,977,000,000 
  liabilities held-for-sale                             
  redeemable noncontrolling interests                             
  2013 - 1,906,645,689                            4,766,000,000 

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