Aig.Hno
AIG.HNO is a food processing company that generates revenue primarily through the production and distribution of processed food products.
Business. American International Group Inc (AIG.O) is a multiline insurance and brokerage company operating within the financials sector. The firm is headquartered in the United States and is primarily listed on the NASDAQ exchange. Specific details regarding its operating segments and geographic revenue mix are not available.
Analyst recommendations
24 analysts · consensus HoldAt a glance
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The watch-list the newsroom runs for this company — derived from its sector path, sharpened layer by layer. Not investment advice.
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- Company
- EarningsQ3 2026 earnings (expected)2026-10-28 · estimated
- Macro
- Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
- Rate decisionReserve Bank of Australia rate decision (press conf.)2026-08-12 · AU
- Rate decisionNorges Bank rate decision (press conf.)2026-08-20 · NO
- Rate decisionSveriges Riksbank rate decision (press conf.)2026-09-03 · SE
- Rate decisionBank of Canada rate decision (press conf.)2026-09-09 · CA
- Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
- Macro & political
- ElectionSE Swedish Election2026-09-14 · SE
- ElectionUS U.S. Midterms2026-11-03 · US
- ElectionFR French Legislative2027-06-01 · FR
- Congressional trades
- CongressLisa McClain — American International Group, Inc.2025-07-10 · Republican · MI · Sale · $1,001 - $15,000
- CongressLisa McClain — American International Group, Inc.2025-06-17 · Republican · MI · Purchase · $1,001 - $15,000
- CongressKathy Manning — American International Group, Inc.2022-08-03 · NC · Sale · $1,001 - $15,000
- CongressKathy Manning — American International Group, Inc.2022-07-20 · NC · Purchase · $1,001 - $15,000
Pre-earnings brief
American International Group Inc (AIG.O) has experienced significant volatility in its institutional ownership structure, marked by major holder changes detected between late June and early July 2026. These shifts involve substantial adjustments in shareholdings by specific investors, indicating active rebalancing within the company's top 36 holders. The most notable movements include a dramatic reduction in holdings by investor ID 931, who decreased their position from 501,825 shares to just 701 shares, and a corresponding adjustment by investor ID 587, whose stake fluctuated between approximately 11,973 and 191,310 shares during the same period. The reduction by investor ID 931 represents a near-total exit from the position, dropping from a portfolio weight of 0.0176% to a negligible 0.000025%, with the value of the holding falling from $36.6 million to $0.05 million. This sharp divestment, detected on June 30, 2026, suggests a decisive strategic shift by this particular entity. Conversely, investor ID 587 showed more complex activity, with records indicating both a decrease from 191,310 shares to 11,973 shares and an increase in the reverse direction, reflecting potential reporting corrections or rapid trading activity around the March 31, 2026 reporting date. Despite these significant individual holder changes, the broader material analysis of AIG indicates no other material changes versus prior analysis across the 17 fields reviewed. The company maintains its presence in one index and continues to be tracked by a network of 36 top holders, though the specific composition of this group is clearly in flux. The absence of additional material changes in financials, estimates, or ESG metrics suggests that the recent activity is isolated to ownership structure rather than fundamental operational or financial performance shifts. These ownership dynamics matter as they highlight the liquidity and interest levels among key institutional players in AIG's stock. The magnitude of the changes, particularly the near-complete exit by investor ID 931, could influence short-term trading volume and price stability. For investors monitoring AIG, these signals underscore the importance of tracking institutional flows, as the stability of the shareholder base appears to be undergoing significant recalibration despite the lack of broader material changes in the company's reported fundamentals.
Signals & dispatch
Composite-score breakdown
Synthesis
American International Group Inc (AIG.O) is a multiline insurance and brokerage company operating within the financials sector. The firm is headquartered in the United States and is primarily listed on the NASDAQ exchange. Specific details regarding its operating segments and geographic revenue mix are not available.
AIG.HNO maintains a debt-to-equity ratio of 0.44, indicating a relatively conservative capital structure with a balanced mix of debt and equity financing. The company's liquidity position is characterized as medium, with a current ratio of 1.98, suggesting it has sufficient short-term assets to cover its short-term liabilities. However, the company's net cash position is negative after subtracting total debt, which may pose a liquidity risk in the short term.
In terms of profitability, AIG.HNO reports a return on equity (ROE) of 14.89% and a return on assets (ROA) of 7.39%, both of which are strong indicators of efficient use of equity and assets to generate profit. These figures are in line with the industry's preferred metrics, which emphasize asset efficiency and profitability. The company's operating income of 1.33 trillion VND and net income of 902.14 billion VND further support its strong profitability.
AIG.HNO's revenue is concentrated within the food processing segment, with no disclosed geographic diversification in the provided data. The company's primary source of revenue is derived from its core food processing operations, with no significant diversification into other business lines or regions.
The company's growth trajectory is supported by a strong operating cash flow of 432.61 billion VND and a free cash flow of 792.39 billion VND, indicating robust cash generation capabilities. The capital expenditure of -366.78 billion VND suggests that the company is investing in its operations to support future growth. The outlook for the current fiscal year and the next fiscal year is positive, with the company expected to maintain its strong financial performance.
AIG.HNO faces a medium level of liquidity risk, primarily due to its negative net cash position after accounting for total debt. The company's dilution potential is low, with no significant dilution sources identified in the provided data. The risk assessment indicates that the company is managing its financial obligations effectively, with a balanced capital structure and strong profitability.
Recent events and filings do not indicate any significant changes in the company's financial or operational status. The company's financial performance remains stable, with no major disruptions reported in the latest filings or transcripts.
American International Group Inc (AIG.O) has experienced significant volatility in its institutional ownership structure, marked by major holder changes detected between late June and early July 2026. These shifts involve substantial adjustments in shareholdings by specific investors, indicating active rebalancing within the company's top 36 holders. The most notable movements include a dramatic reduction in holdings by investor ID 931, who decreased their position from 501,825 shares to just 701 shares, and a corresponding adjustment by investor ID 587, whose stake fluctuated between approximately 11,973 and 191,310 shares during the same period. The reduction by investor ID 931 represents a near-total exit from the position, dropping from a portfolio weight of 0.0176% to a negligible 0.000025%, with the value of the holding falling from $36.6 million to $0.05 million. This sharp divestment, detected on June 30, 2026, suggests a decisive strategic shift by this particular entity. Conversely, investor ID 587 showed more complex activity, with records indicating both a decrease from 191,310 shares to 11,973 shares and an increase in the reverse direction, reflecting potential reporting corrections or rapid trading activity around the March 31, 2026 reporting date. Despite these significant individual holder changes, the broader material analysis of AIG indicates no other material changes versus prior analysis across the 17 fields reviewed. The company maintains its presence in one index and continues to be tracked by a network of 36 top holders, though the specific composition of this group is clearly in flux. The absence of additional material changes in financials, estimates, or ESG metrics suggests that the recent activity is isolated to ownership structure rather than fundamental operational or financial performance shifts. These ownership dynamics matter as they highlight the liquidity and interest levels among key institutional players in AIG's stock. The magnitude of the changes, particularly the near-complete exit by investor ID 931, could influence short-term trading volume and price stability. For investors monitoring AIG, these signals underscore the importance of tracking institutional flows, as the stability of the shareholder base appears to be undergoing significant recalibration despite the lack of broader material changes in the company's reported fundamentals.
- AIG.HNO maintains a conservative capital structure with a debt-to-equity ratio of 0.44.
- The company's strong profitability is reflected in a return on equity of 14.89% and a return on assets of 7.39%.
- AIG.HNO's liquidity position is characterized as medium, with a current ratio of 1.98.
- The company's growth is supported by a strong operating cash flow of 432.61 billion VND and a free cash flow of 792.39 billion VND.
- AIG.HNO faces a medium level of liquidity risk due to its negative net cash position after accounting for total debt.
- "margin_outlook_rationale": "The company's strong profitability is expected to be maintained due to its efficient use of assets and equity.",
Bull / Bear case
Generated · model-assistedIn focus — financials by report
Valuation
Revenue by segment
Business relationships
Supply chain
Peer comparison
Market position
Stress test
Predictor forecast
Options
Short squeeze
Earnings-call key lines
Estimate revisions
consensus EPS · 26-week trendSell-side observations
Themes
ESG
Risk factors
- Net cash is negative after subtracting total debt.
Benchmarks vs cohort
Corporate actions / M&A
FX exposure
Comparable transactions
Derivatives & instruments
Derivative transactions
- Director · Deferred Stock Unit → Common StockAcquired 538grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 15grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 72grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 1 256grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 115grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 325grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 33grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 72grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 505grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 290grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 38grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 48grant · 2026-07-01
- Director · Deferred Stock Unit → Common StockAcquired 121grant · 2026-07-01
- Director, Executive Chairman · November 2022 RSUs Dividend Equivalents → Common StockAcquired 6 241grant · 2026-06-29
- Director · Deferred Stock Unit → Common StockAcquired 2 387grant · 2026-06-01
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 2 441grant · 2026-05-13
- Director · Deferred Stock Unit → Common StockAcquired 54grant · 2026-04-01
Actions
Ask Handelsavisen
- Market data
- Market data cache
- Issuer disclosures
- Public news
- Earnings transcripts
- Consensus estimates
- ESG data
- Dilution Ratio(shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
- Net Cashcash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
- Capex To Revenuecapital_expenditure / revenue
- Return On Equitynet_income / total_equity
- Debt To Equity(short_term_debt + long_term_debt) / total_equity
- Cash Conversion Ratiooperating_cash_flow / net_income
- AIG.HNO Market data — financials · 2026-05-27
Ownership & reference
Top holders
- Investment Managers · as of 2026-03-310,40 %$2 135M
- Investment Managers · as of 2026-03-310,22 %$880M
- Institutional Investor · as of 2022-09-300,21 %$0M
- Funds · as of 2026-03-310,15 %$968M
- Investment Managers · as of 2024-12-310,14 %$485M
- Investment Managers · as of 2026-03-310,12 %$1M
- Institutional Investor · as of 2026-03-310,11 %$620M
- Institutional Investor · as of 2026-03-310,10 %$428M
- Investment Managers · as of 2024-06-300,10 %$4 243M
- Investment Managers · as of 2026-03-310,10 %$462M
- Investment Managers · as of 2026-03-310,10 %$210M
- Investment Managers · as of 2025-12-310,08 %$5 799M
- Investment Managers · as of 2026-03-310,08 %$602M
- Investment Managers · as of 2026-03-310,06 %$1 875M
- Investment Managers · as of 2026-03-310,06 %$446M
- Investment Managers · as of 2026-03-310,06 %$940M
- Institutional Investor · as of 2026-03-310,06 %$167M
- Investment Managers · as of 2026-03-310,06 %$425M
- Investment Managers · as of 2026-03-310,05 %$84M
- Investment Managers · as of 2026-03-310,05 %$104M
- Investment Managers · as of 2026-03-310,05 %$73M
- Investment Managers · as of 2026-03-310,05 %$318M
- Investment Managers · as of 2026-03-310,04 %$709M
- Investment Managers · as of 2026-03-310,03 %$197M
- Brokerage Firms · as of 2026-03-310,03 %$109M
- Investment Managers · as of 2026-03-310,02 %$45M
- Institutional Investor · as of 2026-03-310,02 %$37M
- Investment Managers · as of 2026-03-310,02 %$50M
- Brokerage Firms · as of 2026-03-310,01 %$54M
- Institutional Investor · as of 2026-03-310,01 %$185M
- Investment Managers · as of 2026-03-310,01 %$14M
- Investment Managers · as of 2026-03-310,01 %$22M
- Institutional Investor · as of 2026-03-310,00 %$5M
- Investment Managers · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2026-03-310,00 %$0M
- Institutional Investor · as of 2026-03-310,00 %$0M
Insider activity
- EVP, Chief Risk Officer · Common StockOther 2 476 @ $79,16$196K · 2026-07-27
- EVP, Chief HR Officer · Common StockOther 549 @ $72,55$40K · 2026-06-03
- EVP, Chief Info. Officer · Common StockOther 10 059 @ $75,56$760K · 2026-04-01
- EVP, Chief Info. Officer · Common StockOther 19 704 · 2026-04-01
- Director, Chairman & CEO · Common StockOther 134 150 @ $80,49$10,8M · 2026-03-03
Short positioning
Geographic breakdown
Intel & risk
Evidence & claims
From filings & derived data- Return on assets (FY 2025-12-31): 1.9%Derived (calculated)
- EPS (basic) (YoY) (2025-12-31 vs 2024-12-31): 350.2%Derived (calculated)
- Net margin (FY 2025-12-31): 11.6%Derived (calculated)
- Return on equity (FY 2025-12-31): 7.5%Derived (calculated)
- Debt-to-equity (FY 2025-12-31): 2.92xDerived (calculated)
- Operating cash flow (YoY) (2025-12-31 vs 2024-12-31): 1.3%Derived (calculated)
- Revenue (YoY) (2025-12-31 vs 2024-12-31): -1.7%Derived (calculated)
- Shareholders' equity (YoY) (2025-12-31 vs 2024-12-31): -3.3%Derived (calculated)
- Long-term debt (YoY) (2025-12-31 vs 2024-12-31): 3.0%Derived (calculated)
- EPS (diluted) (YoY) (2025-12-31 vs 2024-12-31): 350.2%Derived (calculated)
- Total liabilities (YoY) (2025-12-31 vs 2024-12-31): 1.1%Derived (calculated)
- Total assets (YoY) (2025-12-31 vs 2024-12-31): -0.0%Derived (calculated)
- Net income (YoY) (2025-12-31 vs 2024-12-31): 320.5%Derived (calculated)
- EPS (basic) (annual): USD-PER-SHARES 5SEC XBRL filing
- Shares outstanding (annual): 538.2MSEC XBRL filing
- Total liabilities (annual): USD 120.09BSEC XBRL filing
- Total assets (annual): USD 161.25BSEC XBRL filing
- Interest expense (annual): USD 396MSEC XBRL filing
- Revenue (annual): USD 26.77BSEC XBRL filing
- EPS (diluted) (annual): USD-PER-SHARES 5SEC XBRL filing
- Net income (annual): USD 3.1BSEC XBRL filing
- Long-term debt (annual): USD 9.19BSEC XBRL filing
- Shareholders' equity (annual): USD 41.14BSEC XBRL filing
- Pre-tax income (annual): USD 3.88BSEC XBRL filing