CUSTOM STOCK REPORT FOR:
AIG
Report Generated: 5/5/2003 16:12

This report consists of the following sections: 3 standard charts, 1 point & figure chart, a table of technicals indicators, a technical description of current stock position, a statement of current company fundamental statistics and current new. If you are not displaying this report properly, insure that you are using a currently updated browser.









TECHNICAL DATA REPORT
 General Indicators
 
 
Criteria Value
 
Stock Price 57.6
P/E Ratio 27.6
Percent Yield 0.3
Number of Shares Outstanding 2,609,800,000
Market Capitalization 150,274,000,000
Net Insider trading -1
Exercise of Options -1
 Stock Performance Indicators
 
 
Criteria Value
 
1 Day Relative Performance 99.6
1 Week Relative Performance 101.5
3 Week Relative Performance 107.2
6 Week Relative Performance 110.7
18 Week Relative Performance 100.2
26 Week Relative Performance 90.3
1 Year Relative Performance 85.1
3 Year Relative Performance 75.1
5 Year Relative Performance N/A
 Volume Indicators
 
 
Criteria Value
 
Volume/No. of Shares 0.2
30 Day Average Volume 7,101,100
1-Day-Vol-to-30-Day Avg Vol Ratio 72.3
5-Day-Vol-to-30-Day Avg Vol Ratio 90.6
 Moving Average Convergence/Divergence (MACD)
 
 
Criteria Value
 
MACD 8-17-9 Day Breakout 10
MACD 8-17-9 Day Value 109
MACD 8-17-9 Day HST 8
MACD 8-17-9 Day Delta -4
MACD 12-25-9 Day Breakout 38
MACD 12-25-9 Day Value 127
MACD 12-25-9 Day HST 16
MACD 12-25-9 Day Delta -1
MACD 8-17-9 Week Breakout 32
MACD 8-17-9 Week Value -123
MACD 8-17-9 Week Change 140
MACD 8-17-9 Week Delta 43
 Moving Averages 
 
 
Criteria Value
 
30 Day Moving Average Ratio 106.5
30 Day Moving Average Breakout 25
150 Day Moving Average Ratio 100.8
150 Day Moving Average Breakout 4
 Stochastics
 
 
Criteria Value
 
Stochastics 9- 3 Breakout -7
Stochastics 9- 3 Value 78.1
Stochastics 14- 5 Breakout -27
Stochastics 14- 5 Value 82.1
Stochastics 30-15 Breakout -18
Stochastics 30-15 Value 83.2
 Wilder Relative Strength
 
 
Criteria Value
 
Wilder 9 Day Breakout -8
Wilder 9 Day Value 62.3
Wilder 14 Day Breakout -8
Wilder 14 Day Value 61.3
 Least Squares Projection
 
 
Criteria Value
 
Least squares 3 Year % Growth -16.7
Least squares 3 Year % Deviation 3
Least squares 5 Year % Growth 31.4
Least squares 5 Year % Deviation -46.1
Least squares 10 Year % Growth N/A
Least squares 10 Year % Deviation N/A
 Other Technical Indicators
 
 
Criteria Value
 
McClellan Breakout N/A
Price as % of High & Low 17
Price as % of High & Low (5 day avg) 60

The stock shows an intraday high of 58

The stock shows an intraday high of 58.450 and a low of 57.400 -a trading range of 1%.

The last trade was at 57.580 volume showing 5,273,700 shares exchanging hands.

A Moving Average describes a stock's price trend with respect to a specific time frame.

To calculate a 10-day moving average, the closing prices for the most recent ten days are added together and then divided by ten.

By calculating this average daily using only the most recent data, the average "moves" in conjunction with the underlying stock price.

AIG is near a notable juncture in its long-term trend.

The stock is within 10% of the 200-day moving average line, an important long-term technical indicator.

If the stock has been under accumulation, (as implied by rising stock prices,) a break above this line is indication of growing momentum.

If AIG has recently broken above this intermediate term indicator, then a new uptrend could be underway.

However, if the stock has pulled back or consolidated off of recent highs, watch for decreasing volume and volatility as indication of strength in its current trend.

Also, watch for AIG to hold above the 50-day line as confirmation that the current uptrend remains intact.

AIG is trading near the 10-Day Moving Average Line, which implies the possibility of recent weakness.

The higher the volume for a stock when it moves above or below its moving average lines, the more significant this technical divergence is for investors.

The above report is based on mathematical calculations and, as such, no investment decision should be based solely on its conclusions.

 

QKFACT AIG    026874107 American Int'l Group, Inc                 
 
                   Market Guide Quick Facts Report
 
American Int'l Group, Inc      SYMBOL: AIG             EXCHANGE:  NYSE
 
 
PRICING DATA (AS OF)    05/02/03      RATIOS & STATISTICS
Price                      57.76      Price/Revenue (TTM)           NA*
52 Week High               71.50      P/E (TTM)                  27.72*
52 Week Low                42.92      Price/Book (MRQ)            2.55
Beta                        0.92      Price/Cash Flow (TTM)      20.33
Avg Daily Vol (10 Day)      7.61 Mil  ROA (TTM)                   1.07%*
Avg Daily Vol (3 Month)     8.21 Mil  ROE (TTM)                   9.74%*
                                      Current Ratio (MRQ)           NM
DIVIDEND INFORMATION                  Total Debt/Equity (MRQ)     1.22
Indicated Annual ($)        0.19
Yield                       0.33%     NOTE: TTM = trailing twelve months
                                            MRQ = most recent quarter
 
 
 
SHARE RELATED INFORMATION             SHORT INTEREST INFORMATION
Market Cap. ($)       150743.781 Mil  Current Month           23.960 Mil
Shares Out.            2,609.830 Mil  Previous Month          19.156 Mil
Float                  2,505.400 Mil  Short Interest Ratio       2.9 Day
 
 
 
INSTITUTIONAL & INSIDER OWNERSHIP
                           PURCHASES     SALES      NET PURCH     %OWNED
Institutions (3 Months)  106.000 Mil  105.745 Mil    0.255 Mil     60.2%
Insiders     (6 Months)    0.001 Mil    0.194 Mil   -0.193 Mil      4.0%
 
 
BUSINESS SUMMARY
     American International Group is a holding company
     engaged in insurance and insurance-related activities in the
     U.S. & abroad.  AIG's primary activities are general & life
     insurance operations.  For the FY ended 12/31/02, revenues
     rose 9% to $67.48B.  Net income before accounting change
     rose less than 1% to $5.52B.  Revenues reflect growth in
     general and life insurance segments.  Net income was
     partially offset by higher incurred policy losses.
 
     PRELIMINARY: For the 3 months ended 03/31/2003, after tax
     earnings were 1,954. (expressed in Millions)
 
 
                 REVENUES (Millions of U.S. Dollars)
 
QUARTERS           2000            2001            2002            2003
 
MAR              10,083          14,793          16,137               0*
JUN              14,543          15,153          16,662
SEP              12,225          15,582          17,150
DEC              13,619          16,238          17,533
 
TOTAL            50,470          61,766          67,482
 
                          EARNINGS PER SHARE
 
MAR               0.620           0.700           0.750           0.740*
JUN               0.570           0.510           0.680
SEP               0.650           0.150           0.700
DEC               0.680           0.700          -0.040
 
TOTAL             2.520           2.060           2.090
 
FY'98 & '99 Q's are restated for pooling with SunAmerica
(187.5M shares). FY'98 Qs do not reflect SunAmerica
dividends. FY'00-'02 are restated and reclassified.
 
 
GROWTH RATES     1 YEAR          3 YEAR          5 YEAR
 

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