American International Group, Inc. (AIG)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM NEW
Shares, Excl. Options Q1 2024
$575M
Holdings value Q1 2024
$44.9B
Value change Q1 2024
-$1.08B
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1034
Number of Buys Q1 2024
410
Number of Sells Q1 2024
-462
Average Buys Q1 2024 %
+0.007%
Average Sells Q1 2024 %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 572M $44.7B -$1.07B $78.17 978
2023 Q4 605M $41B -$164M $67.75 986
2023 Q3 618M $37.4B -$676M $60.60 914
2023 Q2 632M $36.3B -$296M $57.54 915
2023 Q1 642M $32.3B +$459M $50.36 917
2022 Q4 659M $42B -$189M $63.24 958
2022 Q3 674M $32B -$215M $47.48 897
2022 Q2 693M $35.3B -$1.43B $51.13 920
2022 Q1 725M $45.5B -$743M $62.77 921
2021 Q4 746M $42.4B -$1.05B $56.86 887
2021 Q3 763M $41.9B -$139M $54.89 822
2021 Q2 772M $36.7B -$229M $47.60 813
2021 Q1 780M $36B +$179M $46.21 773
2020 Q4 779M $29.4B +$117M $37.86 764
2020 Q3 783M $21.5B +$347M $27.53 694
2020 Q2 778M $24.3B -$21.5M $31.18 717
2020 Q1 784M $19B +$189M $24.25 738
2019 Q4 795M $40.8B -$8.05M $51.33 879
2019 Q3 799M $44.4B +$223M $55.70 856
2019 Q2 797M $42.5B +$1.23B $53.28 843
2019 Q1 793M $34.1B +$149M $43.06 809
2018 Q4 792M $31.2B -$143M $39.41 833
2018 Q3 800M $42.6B +$68.5M $53.24 873
2018 Q2 804M $42.6B +$2.22B $53.02 882
2018 Q1 788M $42.9B +$2.89B $54.42 946
2017 Q4 790M $47.1B +$1.44B $59.58 934
2017 Q3 786M $48.2B +$1.58B $61.39 922
2017 Q2 770M $48.1B -$679M $62.52 937
2017 Q1 800M $49.9B +$1.95B $62.43 935
2016 Q4 844M $55B -$1.22B $65.31 996
2016 Q3 875M $51.9B -$1.63B $59.34 952
2016 Q2 913M $48.3B -$2.07B $52.89 932
2016 Q1 965M $51.4B -$1.83B $54.05 979
2015 Q4 1.01B $62.7B -$1.61B $61.97 1,030
2015 Q3 1.06B $60.3B -$1.48B $56.82 1,014
2015 Q2 1.11B $67.5B -$1.04B $61.82 1,014
2015 Q1 1.13B $61.9B -$312M $54.79 1,013
2014 Q4 1.15B $64.4B +$686M $56.01 1,058
2014 Q3 1.16B $62.8B -$1.1B $54.02 1,021
2014 Q2 1.2B $66.6B +$638M $54.58 1,022
2014 Q1 1.19B $59.6B +$304M $50.01 1,003