Skip to main content

Want a detailed portfolio tracker?

Performance analysis of American International Group (AIG)

Annual Return

Over the past 3 years, AIG has had an average annual return of +12.67%, underperforming the benchmark SPY, which returned +22.77% annual.

Over the past 5 years, AIG has had an average annual return of +9.12%, underperforming the benchmark SPY, which returned +14.05% annual.

Over the past 10 years, AIG has had an average annual return of +5.14%, underperforming the benchmark SPY, which returned +15.53% annual.

Since Nov 1, 1999, AIG has had an average annual return of -8.54%, underperforming the benchmark SPY, which returned +8.59% annual.

202620252024202320222021202020192018201720162015
-13.18%+20.09%+9.73%+9.73%+13.67%+53.90%-23.23%+33.74%-32.13%-6.90%+7.77%+12.24%
201420132012201120102009200820072006200520042003
+10.68%+45.37%+52.27%-52.17%+92.47%-4.40%-97.26%-17.73%+6.05%+4.84%-0.53%+15.03%
2002200120001999
-26.94%-19.28%+37.01%+7.83%

Monthly Return

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnually Total
2026-12.43%+7.47%-5.96%-0.63%-0.74%-0.54%-13.18%
2025+1.23%+12.64%+5.31%-6.26%+3.79%+1.73%-9.35%+4.79%-2.88%+0.51%-3.46%+12.87%+20.09%
2024+2.59%+4.92%+7.78%-3.72%+4.63%-5.27%+6.79%-2.81%-4.39%+3.59%+1.30%-4.81%+9.73%
2023+0%-3.38%-17.06%+5.40%-0.48%+9.65%+4.84%-2.94%+4.18%+1.11%+7.39%+3.44%+9.73%
2022+1.54%+6.05%+3%-6.79%+0.30%-12.30%+1.18%+0%-7.68%+20.07%+10.69%+0.68%+13.67%
2021-1.18%+17.46%+5.70%+5.01%+8.99%-9.43%-0.37%+15.11%+1.30%+7.52%-10.86%+8.68%+53.90%
2020-2.18%-15.96%-41.94%+4.94%+18.12%+4.91%+2.92%-9.37%-4.39%+14.43%+22.06%-0.70%-23.23%
2019+9.71%-0%+0.44%+10.35%+7.39%+5.02%+5.13%-7.07%+7.61%-4.88%-0.53%-1.96%+33.74%
2018+7.41%-10.43%-4.45%+2.87%-5.75%+1.11%+4.02%-3.69%+0.73%-22.46%+4.91%-8.24%-32.13%
2017-1.53%-0.62%-1.88%-2.40%+4.42%-1.10%+4.60%-7.58%+1.97%+5.31%-7.18%-0.16%-6.90%

Drawdown analysis of American International Group (AIG)

The maximum drawdown for the AIG was -99.64%, occurring on Mar 5, 2009. This drawdown has not yet recovered.

The current AIG drawdown is -94.02%.

Since Nov 1, 1999 AIG has experienced the following drawdowns:

  • 50% or more: 1 time
  • 40% or more: 1 time
  • 30% or more: 1 time
  • 20% or more: 2 times
  • 10% or more: 4 times
DepthStartTo BottomBottomTo RecoverEndTotal
-99.64%Dec 8, 20002068Mar 5, 2009OngoingOngoingOngoing
-28.58%Jan 14, 200035Mar 7, 200019Apr 3, 200054
-13.61%Apr 3, 200010Apr 17, 200019May 15, 200029
-11.70%Dec 10, 199916Jan 4, 20007Jan 13, 200023
-8.19%May 16, 200010May 31, 200011Jun 15, 200021
-8.07%Nov 18, 19996Nov 29, 19999Dec 10, 199915
-7.96%Nov 9, 20009Nov 22, 20009Dec 6, 200018
-6.66%Oct 2, 20008Oct 12, 20008Oct 24, 200016
-6.64%Jun 15, 20003Jun 20, 200024Jul 25, 200027
-6.11%Oct 25, 20001Oct 26, 200010Nov 9, 200011
-4.99%Aug 7, 200014Aug 25, 20004Aug 31, 200018
-4.70%Sep 12, 20004Sep 18, 20007Sep 27, 200011
-3.16%Nov 8, 19995Nov 15, 19991Nov 16, 19996
-2.61%Aug 31, 20004Sep 7, 20002Sep 11, 20006
-2.56%Aug 1, 20001Aug 2, 20002Aug 4, 20003
-1.15%Jul 27, 20001Jul 28, 20001Jul 31, 20002
-1.05%Nov 1, 19991Nov 2, 19991Nov 3, 19992