Form 10 Explorer
10-Q
Quarterly Report
American International Group, Inc.

AIG

NYSE

CIK: 5272

File #: 1-8787

Period End: Jun 30, 2025

Fiscal Year: 2025

View on EDGAR
Balance Sheet
213 line items · 2 periods
XBRL
ItemJun 30, 2025Dec 31, 2024
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 2024 (amortized cost: 2025 - $70,229; 2024 - $66,195)
68,860,000,00064,006,000,000
Level 1 - Recurring Basis - U.S. government and government sponsored entities
77,000,00036,000,000
Level 2 - Recurring Basis - U.S. government and government sponsored entities
2,832,000,0003,231,000,000
Level 3 - Recurring Basis - U.S. government and government sponsored entities
00
Levels 1, 2 and 3 - Recurring Basis - U.S. government and government sponsored entities
2,909,000,0003,267,000,000
Level 1 - Recurring Basis - Obligations of states, municipalities and political subdivisions
00
Level 2 - Recurring Basis - Obligations of states, municipalities and political subdivisions
3,020,000,0003,140,000,000
Level 3 - Recurring Basis - Obligations of states, municipalities and political subdivisions
3,000,0003,000,000
Levels 1, 2 and 3 - Recurring Basis - Obligations of states, municipalities and political subdivisions
3,023,000,0003,143,000,000
Level 1 - Recurring Basis - Non-U.S. governments
64,000,000161,000,000
Level 2 - Recurring Basis - Non-U.S. governments
6,843,000,0007,939,000,000
Level 3 - Recurring Basis - Non-U.S. governments
6,000,0007,000,000
Levels 1, 2 and 3 - Recurring Basis - Non-U.S. governments
6,913,000,0008,107,000,000
Level 1 - Recurring Basis - Corporate debt
00
Level 2 - Recurring Basis - Corporate debt
36,338,000,00031,586,000,000
Level 3 - Recurring Basis - Corporate debt
147,000,000240,000,000
Levels 1, 2 and 3 - Recurring Basis - Corporate debt
36,485,000,00031,826,000,000
Level 1 - Recurring Basis - RMBS
00
Level 2 - Recurring Basis - RMBS
8,084,000,0006,710,000,000
Level 3 - Recurring Basis - RMBS
1,633,000,0001,894,000,000
Levels 1, 2 and 3 - Recurring Basis - RMBS
9,717,000,0008,604,000,000
Level 1 - Recurring Basis - CMBS
00
Level 2 - Recurring Basis - CMBS
3,717,000,0003,900,000,000
Level 3 - Recurring Basis - CMBS
26,000,00026,000,000
Levels 1, 2 and 3 - Recurring Basis - CMBS
3,743,000,0003,926,000,000
Level 1 - Recurring Basis - CLO/ABS
00
Level 2 - Recurring Basis - CLO/ABS
4,870,000,0004,293,000,000
Level 3 - Recurring Basis - CLO/ABS
1,200,000,000840,000,000
Levels 1, 2 and 3 - Recurring Basis - CLO/ABS
6,070,000,0005,133,000,000
Level 1 - Recurring Basis
141,000,000197,000,000
Level 2 - Recurring Basis
65,704,000,00060,799,000,000
Level 3 - Recurring Basis
3,015,000,0003,010,000,000
Levels 1, 2 and 3 - Recurring Basis
68,860,000,00064,006,000,000
Level 3 - Obligations of states, municipalities and political subdivisions
2,000,0003,000,000
Level 3 - Corporate debt
38,000,000177,000,000
Level 3 - RMBS
1,242,000,0001,321,000,000
Level 3 - CLO/ABS
886,000,000760,000,000
Level 3 - CMBS
22,000,00025,000,000
U.S. government and government sponsored entities
2,909,000,0003,267,000,000
Obligations of states, municipalities and political subdivisions
3,023,000,0003,143,000,000
Non-U.S. governments
6,913,000,0008,107,000,000
Corporate debt
36,485,000,00031,826,000,000
RMBS
9,717,000,0008,604,000,000
CMBS
3,743,000,0003,926,000,000
CLO/ABS
6,070,000,0005,133,000,000
Mortgage-backed, asset-backed and collateralized
19,530,000,00017,663,000,000
Non-Investment Grade
5,700,000,0003,600,000,000
Fortitude Holdings - Carrying Value
1,831,000,0001,918,000,000
Fortitude Holdings - Estimated Fair Value
1,831,000,0001,918,000,000
Other bond securities, at fair value
722,000,000745,000,000
Level 1 - Recurring Basis - Obligations of states, municipalities and political subdivisions
00
Level 2 - Recurring Basis - Obligations of states, municipalities and political subdivisions
50,000,00050,000,000
Level 3 - Recurring Basis - Obligations of states, municipalities and political subdivisions
00
Levels 1, 2 and 3 - Recurring Basis - Obligations of states, municipalities and political subdivisions
50,000,00050,000,000
Level 1 - Recurring Basis - Non-U.S. governments
00
Level 2 - Recurring Basis - Non-U.S. governments
23,000,00024,000,000
Level 3 - Recurring Basis - Non-U.S. governments
00
Levels 1, 2 and 3 - Recurring Basis - Non-U.S. governments
23,000,00024,000,000
Level 1 - Recurring Basis - Corporate debt
00
Level 2 - Recurring Basis - Corporate debt
259,000,000281,000,000
Level 3 - Recurring Basis - Corporate debt
1,000,0001,000,000
Levels 1, 2 and 3 - Recurring Basis - Corporate debt
260,000,000282,000,000
Level 1 - Recurring Basis - RMBS
00
Level 2 - Recurring Basis - RMBS
48,000,00050,000,000
Level 3 - Recurring Basis - RMBS
50,000,00050,000,000
Levels 1, 2 and 3 - Recurring Basis - RMBS
98,000,000100,000,000
Level 1 - Recurring Basis - CMBS
00
Level 2 - Recurring Basis - CMBS
43,000,00043,000,000
Level 3 - Recurring Basis - CMBS
00
Levels 1, 2 and 3 - Recurring Basis - CMBS
43,000,00043,000,000
Level 1 - Recurring Basis - CLO/ABS
00
Level 2 - Recurring Basis - CLO/ABS
125,000,000133,000,000
Level 3 - Recurring Basis - CLO/ABS
123,000,000113,000,000
Levels 1, 2 and 3 - Recurring Basis - CLO/ABS
248,000,000246,000,000
Level 1 - Recurring Basis
00
Level 2 - Recurring Basis
548,000,000581,000,000
Level 3 - Recurring Basis
174,000,000164,000,000
Levels 1, 2 and 3 - Recurring Basis
722,000,000745,000,000
Obligations of states, municipalities and political subdivisions - Available for sale fixed maturity securities, including short-term investments
50,000,00050,000,000
Non-U.S. governments - Available for sale fixed maturity securities, including short-term investments
23,000,00024,000,000
Corporate debt - Available for sale fixed maturity securities, including short-term investments
260,000,000282,000,000
RMBS - Available for sale fixed maturity securities, including short-term investments
98,000,000100,000,000
CMBS - Available for sale fixed maturity securities, including short-term investments
43,000,00043,000,000
CLO/ABS - Available for sale fixed maturity securities, including short-term investments
248,000,000246,000,000
Mortgage-backed, asset-backed and collateralized - Available for sale fixed maturity securities, including short-term investments
389,000,000389,000,000
Available for sale fixed maturity securities, including short-term investments
722,000,000745,000,000
Fortitude Holdings - Carrying Value
718,000,000721,000,000
Fortitude Holdings - Estimated Fair Value
718,000,000721,000,000
Equity securities, at fair value
775,000,000704,000,000
Level 1 - Recurring Basis
729,000,000689,000,000
Level 2 - Recurring Basis
00
Level 3 - Recurring Basis
46,000,00015,000,000
Levels 1, 2 and 3 - Recurring Basis
775,000,000704,000,000
Equities
775,000,000704,000,000
Mortgage and other loans receivable, net of allowance for credit losses of $37,742 in 2025 and $37,800 in 2024
3,520,000,0003,868,000,000
Level 1 - Estimated Fair Value
00
Level 2 - Estimated Fair Value
337,000,000339,000,000
Level 3 - Estimated Fair Value
3,122,000,0003,413,000,000
Estimated Fair Value
3,459,000,0003,752,000,000
Carrying Value
3,520,000,0003,868,000,000
Excluding AIGFP Operating
3,520,000,0003,868,000,000
Other invested assets (portion measured at fair value: 2025 - $7,768; 2024 - $7,384)
9,987,000,0009,828,000,000
Recurring Basis
7,768,000,0007,384,000,000
Private equity funds
3,700,000,0003,600,000,000
Level 1 - Estimated Fair Value
00
Level 2 - Estimated Fair Value
517,000,000578,000,000
Level 3 - Estimated Fair Value
6,000,0005,000,000
Estimated Fair Value
523,000,000583,000,000
Carrying Value
523,000,000583,000,000
Hedge Funds
190,000,000187,000,000
Unconsolidated VIE
3,500,000,0002,900,000,000
Short-term investments, including restricted cash of $2 in 2025 and $55 in 2024 (portion measured at fair value: 2025 - $5,356; 2024 - $9,789)
10,102,000,00014,462,000,000
Recurring Basis
5,356,000,0009,789,000,000
Level 1 - Recurring Basis
3,439,000,0007,942,000,000
Level 2 - Recurring Basis
1,917,000,0001,847,000,000
Level 3 - Recurring Basis
00
Levels 1, 2 and 3 - Recurring Basis
5,356,000,0009,789,000,000
Level 1 - Estimated Fair Value
00
Level 2 - Estimated Fair Value
4,746,000,0004,673,000,000
Level 3 - Estimated Fair Value
00
Estimated Fair Value
4,746,000,0004,673,000,000
Carrying Value
4,746,000,0004,673,000,000
Fortitude Holdings - Carrying Value
35,000,00015,000,000
Fortitude Holdings - Estimated Fair Value
35,000,00015,000,000
Total investments
93,966,000,00093,613,000,000
Cash
1,825,000,0001,302,000,000
Level 1 - Estimated Fair Value
1,825,000,0001,302,000,000
Level 2 - Estimated Fair Value
00
Level 3 - Estimated Fair Value
00
Estimated Fair Value
1,825,000,0001,302,000,000
Carrying Value
1,825,000,0001,302,000,000
Accrued investment income
670,000,000599,000,000
Premiums and other receivables, net of allowance for credit losses and disputes of $130 in 2025 and $127 in 2024
13,013,000,00010,463,000,000
Fortitude RE
3,297,000,0003,427,000,000
Excluding Fortitude
35,861,000,00034,618,000,000
Deferred income tax assets
4,722,000,0004,956,000,000
Deferred policy acquisition costs
2,151,000,0002,065,000,000
Goodwill
3,453,000,0003,373,000,000
Deposit accounting assets, net of allowance for credit losses of $49 in 2025 and $49 in 2024
2,461,000,0002,171,000,000
Other assets, including restricted cash of $14 in 2025 and $15 in 2024 (portion measured at fair value: 2025 - $146; 2024 - $179)
4,552,000,0004,735,000,000
Recurring Basis
146,000,000179,000,000
Level 1 - Estimated Fair Value
14,000,00015,000,000
Level 2 - Estimated Fair Value
00
Level 3 - Estimated Fair Value
00
Estimated Fair Value
14,000,00015,000,000
Carrying Value
14,000,00015,000,000
Fortitude Holdings - Carrying Value
68,000,000115,000,000
Total assets
165,971,000,000161,322,000,000
Fortitude Holdings - Carrying Value
3,120,000,0003,220,000,000
Unconsolidated VIE - Real Estate and Investment Entities
3,345,000,0002,723,000,000
Unconsolidated VIE - Other Investment Companies
156,000,000255,000,000
Unconsolidated VIE
3,501,000,0002,978,000,000
Liabilities:
Liability for unpaid losses and loss adjustment expenses, including allowance for credit losses of $14 in 2025 and $14 in 2024
69,754,000,00069,168,000,000
Unearned premiums
20,045,000,00017,232,000,000
Future policy benefits
1,443,000,0001,317,000,000
Other policyholder funds
402,000,000418,000,000
Fortitude Re funds withheld payable (portion measured at fair value: 2025 - $(185); 2024 - $(128))
3,109,000,0003,207,000,000
Recurring Basis
185,000,000128,000,000
Level 1 - Recurring Basis
00
Level 2 - Recurring Basis
00
Level 3 - Recurring Basis
185,000,000128,000,000
Levels 1, 2 and 3 - Recurring Basis
185,000,000128,000,000
Level 1 - Estimated Fair Value
00
Level 2 - Estimated Fair Value
00
Level 3 - Estimated Fair Value
3,294,000,0003,335,000,000
Estimated Fair Value
3,294,000,0003,335,000,000
Carrying Value
3,294,000,0003,335,000,000
Premiums and other related payables
7,693,000,0006,052,000,000
Deposit accounting liabilities
3,319,000,0003,005,000,000
Commissions and premium taxes payable
1,838,000,0001,522,000,000
Current and deferred income tax liabilities
541,000,000426,000,000
Other liabilities (portion measured at fair value: 2025 - $139; 2024 - $251)
7,040,000,0007,503,000,000
Consolidated Entities, Excluding Consolidated Investments
9,101,000,0008,764,000,000
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary
157,000,000158,000,000
Consolidated Entities, Excluding Consolidated Investments - Level 1 - Estimated Fair Value
00
Consolidated Entities, Excluding Consolidated Investments - Level 2 - Estimated Fair Value
8,696,000,0007,981,000,000
Consolidated Entities, Excluding Consolidated Investments - Level 3 - Estimated Fair Value
0240,000,000
Consolidated Entities, Excluding Consolidated Investments - Estimated Fair Value
8,696,000,0008,221,000,000
Consolidated Entities, Excluding Consolidated Investments - Carrying Value
9,101,000,0008,764,000,000
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary - Level 1 - Estimated Fair Value
00
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary - Level 2 - Estimated Fair Value
00
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary - Level 3 - Estimated Fair Value
157,000,000158,000,000
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary - Estimated Fair Value
157,000,000158,000,000
Consolidated Investments, Including Variable Interest Entities, Primarily Beneficiary - Carrying Value
157,000,000158,000,000
Total liabilities
124,442,000,000118,772,000,000
AIG shareholders’ equity:
Common stock, $2.50 par value; 5,000,000,000 shares authorized; shares issued: 2025 - 1,906,671,492 and 2024 - 1,906,671,492
4,766,000,0004,766,000,000
Treasury stock, at cost; 2025 - 1,346,909,001 shares; 2024 - 1,300,512,040 shares of common stock
69,430,000,00065,573,000,000
Additional paid-in capital
75,289,000,00075,348,000,000
Retained earnings
36,424,000,00035,079,000,000
Accumulated other comprehensive loss
(5,548,000,000)(7,099,000,000)
Total AIG shareholders’ equity
41,501,000,00042,521,000,000
Non-redeemable noncontrolling interests
28,000,00029,000,000
Total equity
41,529,000,00042,550,000,000
Common Stock
4,766,000,0004,766,000,000
Treasury Stock
(69,430,000,000)(65,573,000,000)
Additional Paid-in Capital
75,289,000,00075,348,000,000
Retained Earnings
36,424,000,00035,079,000,000
Total
(5,548,000,000)(7,099,000,000)
Total AIG Share- holders' Equity
41,501,000,00042,521,000,000
Non- redeemable Non- controlling Interests
28,000,00029,000,000
Preferred Stock and Additional Paid-in Capital
00
Unrealized Appreciation (Depreciation) of Fixed Maturity Securities on Which Allowance for Credit Losses Was Taken
(6,000,000)(4,000,000)
Unrealized Appreciation (Depreciation) of All Other Investments
(1,951,000,000)(2,868,000,000)
Change in Fair Value of Market Risk Benefits Attributable to Changes in Our Own Credit Risk
00
Change in the discount rates used to measure traditional and limited payment long-duration insurance contracts
75,000,00068,000,000
Foreign Currency Translation Adjustments
(2,899,000,000)(3,521,000,000)
Retirement Plan Liabilities Adjustment
(767,000,000)(774,000,000)
Total liabilities and equity
165,971,000,000161,322,000,000