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AIG vs. CME: A Head-to-Head Stock Comparison

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Here’s a clear look at AIG and CME, comparing key factors like historical performance, profitability, financial strength, growth, dividend, and valuation.

Company Overview

CME’s market capitalization of 99.71 billion USD is significantly greater than AIG’s 47.94 billion USD, highlighting its more substantial market valuation.

With betas of 0.66 for AIG and 0.48 for CME, both stocks show similar sensitivity to overall market movements.

SymbolAIGCME
Company NameAmerican International Group, Inc.CME Group Inc.
CountryUSUS
SectorFinancial ServicesFinancial Services
IndustryInsurance - DiversifiedFinancial - Data & Stock Exchanges
CEOPeter Salvatore ZaffinoTerrence A. Duffy
Price83.18 USD276.7 USD
Market Cap47.94 billion USD99.71 billion USD
Beta0.660.48
ExchangeNYSENASDAQ
IPO DateJanuary 2, 1973December 6, 2002
ADRNoNo

Historical Performance

This chart compares the performance of AIG and CME by tracking the growth of an initial $10,000 investment in each. Use the tabs to select the desired time period.

Data is adjusted for dividends and splits.

AIG vs. CME: Growth of a $10,000 investment over the past one year.

Profitability

Return on Equity

AIG

-4.43%

Insurance - Diversified Industry

Max
19.59%
Q3
17.66%
Median
12.77%
Q1
7.56%
Min
-4.43%

AIG has a negative Return on Equity of -4.43%. This indicates the company is generating a loss for its shareholders, which can be a result of unprofitability or negative shareholder equity and is often a sign of financial distress.

CME

13.26%

Financial - Data & Stock Exchanges Industry

Max
26.26%
Q3
23.14%
Median
14.33%
Q1
11.12%
Min
-0.64%

CME’s Return on Equity of 13.26% is on par with the norm for the Financial - Data & Stock Exchanges industry, indicating its profitability relative to shareholder equity is typical for the sector.

AIG vs. CME: A comparison of their ROE against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Return on Invested Capital

AIG

10.39%

Insurance - Diversified Industry

Max
32.46%
Q3
16.21%
Median
9.46%
Q1
2.09%
Min
-10.51%

Return on Invested Capital is often not a primary measure of capital efficiency in the Insurance - Diversified industry.

CME

8.70%

Financial - Data & Stock Exchanges Industry

Max
18.31%
Q3
14.86%
Median
11.07%
Q1
6.75%
Min
4.04%

CME’s Return on Invested Capital of 8.70% is in line with the norm for the Financial - Data & Stock Exchanges industry, reflecting a standard level of efficiency in generating profits from its capital base.

AIG vs. CME: A comparison of their ROIC against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Net Profit Margin

AIG

-7.05%

Insurance - Diversified Industry

Max
26.00%
Q3
19.46%
Median
9.37%
Q1
5.55%
Min
-7.05%

AIG has a negative Net Profit Margin of -7.05%, indicating the company is operating at a net loss as its expenses exceeded its revenues.

CME

57.71%

Financial - Data & Stock Exchanges Industry

Max
39.08%
Q3
31.63%
Median
23.20%
Q1
18.09%
Min
-0.88%

CME’s Net Profit Margin of 57.71% is exceptionally high, placing it well beyond the typical range for the Financial - Data & Stock Exchanges industry. This demonstrates outstanding operational efficiency and a strong competitive advantage in converting revenue into profit.

AIG vs. CME: A comparison of their Net Profit Margin against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Operating Profit Margin

AIG

13.31%

Insurance - Diversified Industry

Max
44.52%
Q3
25.84%
Median
14.16%
Q1
6.78%
Min
-2.60%

AIG’s Operating Profit Margin of 13.31% is around the midpoint for the Insurance - Diversified industry, indicating that its efficiency in managing core business operations is typical for the sector.

CME

64.92%

Financial - Data & Stock Exchanges Industry

Max
53.68%
Q3
40.45%
Median
31.81%
Q1
24.66%
Min
9.71%

CME’s Operating Profit Margin of 64.92% is exceptionally high, placing it well above the typical range for the Financial - Data & Stock Exchanges industry. This demonstrates outstanding efficiency in managing its core operations, which can be a result of strong pricing power or superior cost control.

AIG vs. CME: A comparison of their Operating Margin against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Profitability at a Glance

SymbolAIGCME
Return on Equity (TTM)-4.43%13.26%
Return on Assets (TTM)-1.19%2.30%
Return on Invested Capital (TTM)10.39%8.70%
Net Profit Margin (TTM)-7.05%57.71%
Operating Profit Margin (TTM)13.31%64.92%
Gross Profit Margin (TTM)100.00%86.46%

Financial Strength

Current Ratio

AIG

--

Insurance - Diversified Industry

Max
4.41
Q3
4.03
Median
2.86
Q1
2.82
Min
2.82

Current Ratio data for AIG is currently unavailable.

CME

1.02

Financial - Data & Stock Exchanges Industry

Max
1.60
Q3
1.57
Median
1.06
Q1
0.96
Min
0.62

CME’s Current Ratio of 1.02 aligns with the median group of the Financial - Data & Stock Exchanges industry, indicating that its short-term liquidity is in line with its sector peers.

AIG vs. CME: A comparison of their Current Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Debt-to-Equity Ratio

AIG

0.21

Insurance - Diversified Industry

Max
0.54
Q3
0.39
Median
0.27
Q1
0.21
Min
0.13

AIG’s Debt-to-Equity Ratio of 0.21 is typical for the Insurance - Diversified industry, indicating its use of leverage is in line with the sector norm. This suggests a balanced approach to its capital structure.

CME

0.13

Financial - Data & Stock Exchanges Industry

Max
1.09
Q3
0.80
Median
0.62
Q1
0.36
Min
0.04

Falling into the lower quartile for the Financial - Data & Stock Exchanges industry, CME’s Debt-to-Equity Ratio of 0.13 points to a conservative financing strategy. This results in lower financial risk but potentially limits strategic investments compared to more leveraged competitors.

AIG vs. CME: A comparison of their D/E Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Interest Coverage Ratio

AIG

8.29

Insurance - Diversified Industry

Max
19.23
Q3
17.46
Median
7.97
Q1
4.61
Min
-1.63

AIG’s Interest Coverage Ratio of 8.29 is positioned comfortably within the norm for the Insurance - Diversified industry, indicating a standard and healthy capacity to cover its interest payments.

CME

25.08

Financial - Data & Stock Exchanges Industry

Max
27.44
Q3
22.05
Median
10.08
Q1
6.79
Min
1.01

CME’s Interest Coverage Ratio of 25.08 is in the upper quartile for the Financial - Data & Stock Exchanges industry, signifying a strong and healthy capacity to meet its interest payments from operating profits.

AIG vs. CME: A comparison of their Interest Coverage against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Financial Strength at a Glance

SymbolAIGCME
Current Ratio (TTM)--1.02
Quick Ratio (TTM)--1.02
Debt-to-Equity Ratio (TTM)0.210.13
Debt-to-Asset Ratio (TTM)0.050.02
Net Debt-to-EBITDA Ratio (TTM)0.960.40
Interest Coverage Ratio (TTM)8.2925.08

Growth

The following charts compare key year-over-year (YoY) growth metrics for AIG and CME. These metrics are based on the companies’ annual financial reports.

Revenue Growth

AIG vs. CME: A comparison of their annual year-over-year Revenue Growth.

Earnings Per Share (EPS) Growth

AIG vs. CME: A comparison of their annual year-over-year Earnings Per Share (EPS) Growth.

Free Cash Flow Growth

AIG vs. CME: A comparison of their annual year-over-year Free Cash Flow Growth.

Dividend

Dividend Yield

AIG

1.98%

Insurance - Diversified Industry

Max
8.16%
Q3
5.54%
Median
2.46%
Q1
1.59%
Min
0.00%

AIG’s Dividend Yield of 1.98% is consistent with its peers in the Insurance - Diversified industry, providing a dividend return that is standard for its sector.

CME

3.83%

Financial - Data & Stock Exchanges Industry

Max
3.86%
Q3
1.44%
Median
1.06%
Q1
0.73%
Min
0.00%

With a Dividend Yield of 3.83%, CME offers a more attractive income stream than most of its peers in the Financial - Data & Stock Exchanges industry, signaling a strong commitment to shareholder returns.

AIG vs. CME: A comparison of their Dividend Yield against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Dividend Payout Ratio

AIG

-51.66%

Insurance - Diversified Industry

Max
101.86%
Q3
53.36%
Median
21.69%
Q1
5.33%
Min
0.00%

AIG has a negative Dividend Payout Ratio of -51.66%. This typically means the company paid a dividend despite reporting a net loss, a situation that may signal financial instability.

CME

105.42%

Financial - Data & Stock Exchanges Industry

Max
106.40%
Q3
44.44%
Median
31.97%
Q1
29.26%
Min
0.00%

CME’s Dividend Payout Ratio of 105.42% is above 100%. This means the company is paying out more in dividends than it earned, a practice that is often unsustainable and could indicate a risk to future dividend stability.

AIG vs. CME: A comparison of their Payout Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Dividend at a Glance

SymbolAIGCME
Dividend Yield (TTM)1.98%3.83%
Dividend Payout Ratio (TTM)-51.66%105.42%

Valuation

Price-to-Earnings Ratio

AIG

-25.70

Insurance - Diversified Industry

Max
18.52
Q3
16.13
Median
13.33
Q1
9.73
Min
2.62

AIG has a negative P/E Ratio of -25.70. This occurs when a company has negative earnings (a net loss), making the ratio unsuitable for valuation analysis.

CME

27.44

Financial - Data & Stock Exchanges Industry

Max
41.71
Q3
40.17
Median
37.47
Q1
30.61
Min
16.74

In the lower quartile for the Financial - Data & Stock Exchanges industry, CME’s P/E Ratio of 27.44 suggests the stock may be undervalued compared to its peers, potentially presenting an attractive entry point for investors.

AIG vs. CME: A comparison of their P/E Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Forward P/E to Growth Ratio

AIG

-1.34

Insurance - Diversified Industry

Max
2.60
Q3
2.07
Median
1.20
Q1
0.77
Min
0.04

AIG has a negative Forward PEG Ratio of -1.34. This typically results from negative earnings or forecasts of declining future earnings, making the ratio not meaningful for valuation.

CME

4.25

Financial - Data & Stock Exchanges Industry

Max
4.54
Q3
4.09
Median
4.06
Q1
3.33
Min
2.36

A Forward PEG Ratio of 4.25 places CME in the upper quartile for the Financial - Data & Stock Exchanges industry. This suggests the stock is potentially expensive compared to its peers relative to its growth forecast, which may warrant caution.

AIG vs. CME: A comparison of their Forward PEG Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Price-to-Sales Ratio

AIG

1.76

Insurance - Diversified Industry

Max
3.08
Q3
2.00
Median
1.15
Q1
1.07
Min
0.38

AIG’s P/S Ratio of 1.76 aligns with the market consensus for the Insurance - Diversified industry. This suggests its valuation, based on sales, is seen as standard and is on par with its competitors.

CME

15.87

Financial - Data & Stock Exchanges Industry

Max
15.75
Q3
12.42
Median
9.37
Q1
6.34
Min
1.69

With a P/S Ratio of 15.87, CME trades at a valuation that eclipses even the highest in the Financial - Data & Stock Exchanges industry. This implies the market has priced in exceptionally optimistic scenarios for future revenue growth, posing considerable valuation risk.

AIG vs. CME: A comparison of their P/S Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Price-to-Book Ratio

AIG

1.19

Insurance - Diversified Industry

Max
2.12
Q3
1.80
Median
1.59
Q1
1.29
Min
0.74

AIG’s P/B Ratio of 1.19 is in the lower quartile for the Insurance - Diversified industry. From a value investing perspective, this is favorable, as it suggests the stock is trading at a discount to its net asset value and may offer a greater margin of safety.

CME

3.68

Financial - Data & Stock Exchanges Industry

Max
8.57
Q3
8.05
Median
4.77
Q1
3.69
Min
1.19

CME’s P/B Ratio of 3.68 is in the lower quartile for the Financial - Data & Stock Exchanges industry. From a value investing perspective, this is favorable, as it suggests the stock is trading at a discount to its net asset value and may offer a greater margin of safety.

AIG vs. CME: A comparison of their P/B Ratio against their respective Insurance - Diversified and Financial - Data & Stock Exchanges industry benchmarks.

Valuation at a Glance

SymbolAIGCME
Price-to-Earnings Ratio (P/E, TTM)-25.7027.44
Forward PEG Ratio (TTM)-1.344.25
Price-to-Sales Ratio (P/S, TTM)1.7615.87
Price-to-Book Ratio (P/B, TTM)1.193.68
Price-to-Free Cash Flow Ratio (P/FCF, TTM)17.7726.06
EV-to-EBITDA (TTM)7.3120.45
EV-to-Sales (TTM)2.0216.19