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AIG vs MSCI: AIG vs MSCI Inc

AIG (AIG) and MSCI Inc (MSCI) on Torvanta's measures: AIG grades higher on 2 of the 4 factor families and MSCI on 2.

AIGMSCI
Value gradeCD
Growth gradeD+C+
Profitability gradeDA
Momentum gradeC+C
Market value$39.3B$40.2B
P/E (trailing)13.7x30.2x
Forward P/E (Torvanta estimate)12.7x26.6x
Revenue, last 12 months$26.6B$3.3B
Revenue growth (y/y)-4%+12%
Operating marginn/a55.7%
Return on invested capitaln/a47.5%
Free-cash-flow yield9.8%4.0%
Total return, 1 year-5.0%+0.0%
Total return, 3 years+33.5%+15.2%

Full AIG analysis · Full MSCI analysis

Frequently asked questions

Which is better, AIG or MSCI?

AIG (AIG) and MSCI Inc (MSCI) on Torvanta's measures: AIG grades higher on 2 of the 4 factor families and MSCI on 2. Which fits an investor depends on their goals; this is research, not a recommendation. Subscribers see where the model ranks each and its expected return.

Which is cheaper, AIG or MSCI?

On trailing earnings AIG trades at 13.7x and MSCI at 30.2x; their value grades are C and D against their sectors.

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Torvanta is research only - not investment advice and not a recommendation to buy or sell any security. Grades describe a company's reported data against its sector; they are not the model's view, change as data changes and can be wrong. Financial figures come from the company's SEC filings; returns include reinvested dividends. Past performance does not predict future results.

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