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AIA Group Limited (AAGIY)
OTHER OTC:AAGIY
US Market

AIA Group (AAGIY) Financial Statements

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AIA Group Financial Overview

AIA Group's market cap is currently $115.51B. The company's EPS TTM is $1.265; its P/E ratio is 17.36; and it has a dividend yield of 2.11%. AIA Group is scheduled to report earnings on March 18, 2026, and the estimated EPS forecast is $1.44. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue$ 32.53B$ 20.36B$ 19.76B$ 57.14B$ 46.36B
Gross Profit$ 32.53B$ 28.02B$ 19.76B$ -18.87B$ 47.99B
Operating Income$ 7.47B$ 22.47B$ 5.05B$ 5.19B$ 43.33B
EBITDA$ 8.13B$ 8.92B$ 5.46B$ 4.56B$ 9.22B
Net Income$ 6.23B$ 6.84B$ 3.76B$ 3.33B$ 7.43B
Balance Sheet
Cash & Short-Term Investments$ 9.61B$ 106.39B$ 100.14B$ 8.02B$ 3.91B
Total Assets$ 345.43B$ 305.45B$ 286.32B$ 270.47B$ 339.87B
Total Debt$ 20.58B$ 13.67B$ 15.63B$ 13.35B$ 11.65B
Net Debt$ 10.97B$ 5.57B$ 640.00M$ 3.19B$ 5.07B
Total Liabilities$ 301.82B$ 264.64B$ 244.72B$ 225.32B$ 278.94B
Stockholders' Equity$ 43.25B$ 40.49B$ 41.11B$ 44.67B$ 60.47B
Cash Flow
Free Cash Flow$ 5.13B$ 3.03B$ 10.59B$ 9.48B$ 3.27B
Operating Cash Flow$ 5.33B$ 3.26B$ 10.92B$ 9.87B$ 3.91B
Investing Cash Flow$ -939.92M$ -945.00M$ -2.14B$ -817.00M$ -2.78B
Financing Cash Flow$ -3.07B$ -5.69B$ -6.07B$ -4.79B$ -1.66B
Currency in USD

AIA Group Earnings and Revenue History

AIA Group Debt to Assets

AIA Group Cash Flow

AIA Group Forecast EPS vs Actual EPS