American International

ISIN US0268747849

 | 

WKN A0X88Z

Capitalización (en EUR)
42,032.28 m
Country
United States
Sector
Finance
Rendimiento de los dividendos
1.95%
 

Panorama general

Descripción

American International Group, Inc. is a global insurance organization, which provides property casualty insurance, offering a range of products, including liability, financial lines, property, global specialty, personal lines and accident and health that help businesses, individuals and jurisdictions to protect their assets and manage risks through AIG operations and network partners. It operates through the following segments: North America Commercial, International Commercial and Global Personal. The North America Commercial segment consists of insurance businesses in the United States, Canada and Bermuda. The International Commercial segment refers to insurance businesses in Japan, the United Kingdom, Europe, Middle East and Africa (EMEA region), Asia Pacific, Latin America and Caribbean, and China. The Global Personal segment is involved in insurance businesses in the United States as well as Japan, the United Kingdom, Europe, Middle East and Africa (EMEA region), Asia Pacific, Latin America and Caribbean, and China. The company was founded by Cornelius Vander Starr in 1919 and is headquartered in New York, NY.
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Finance Insurance United States

Datos financieros clave

Indicadores clave

Capitalización bursátil, EUR 42,032.28 m
BPA, EUR 4.67
Ratio P/B 1.17
PER 16.18
Rendimiento de los dividendos 1.95%

Cuenta de resultados (2024)

Ingresos, EUR 25,192.87 m
Ingresos netos, EUR 2,496.08 m
Margen de beneficios 9.91%

¿Qué ETF contiene American International?

Hay 272 ETF que contienen American International. Todos estos ETF están listados en la siguiente tabla. El ETF con la mayor ponderación de American International es el Invesco Dow Jones US Insurance UCITS ETF Acc.
— Datos proporcionados por Trackinsight, etfinfo, Xignite Inc., gettex, FactSet y justETF GmbH.

Las cotizaciones son en tiempo real (gettex) o bursátiles con 15 minutos de retraso o valores liquidativos (publicados diariamente por el proveedor del fondo). Por defecto, los rendimientos de los ETF incluyen el pago de dividendos (si procede). No se garantiza la integridad, exactitud y corrección de la información mostrada.