CI

Cigna Group
$280.91
+$2.75 (+0.99%)Sep 10, 2026
7.2GoodMoatMint rating

MoatMint rates Cigna Group (CI) 7.2 out of 10, a research rating of the company's quality, value, growth, momentum and financial health. Its quality rating is 7.1 out of 10.

Key metrics

The numbers that frame CI today
Market cap
$74.23B
P/E (TTM)
11.6
EV / FCF
11.0
Gross margin
9.1%
EV / Sales
0.4
ROIC
17.8%
Div yield
2.19%
Debt / equity
0.7
52wk Low
$234.22
52wk High
$308.51

CI stock rating

How CI scores on quality, value, growth, momentum and financial health
7.2out of 10
Good overallFair business, attractive price
Quality7.1
Growth5.0
Momentum3.9
Value9.5
Financial Health7.4

Growth

Revenue and earnings trend for CI
RevenueNet income
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Cash flow & returns

Free cash flow and financial health
Free cash flowNet debt
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Insider trading

Recent insider buying and selling activity
PurchasesSales
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Frequently asked questions

Plain-English answers about CI
Is Cigna Group a good buy?
Hold. Cigna Group has strong quality, but weak momentum makes the setup mixed. Growth looks mixed. The support signal is useful, but not decisive. We think Cigna Group is selling at a low price.
What is the market capitalization of CI?
Cigna Group's market capitalization is $74.23B.
What is the P/E ratio for CI stock?
Cigna Group's current P/E ratio is 11.6.
What is the 52-week high for CI stock?
The 52-week high for Cigna Group is $308.51. The current close of $280.91 is 8.9% below that high.
What is the 52-week low for CI stock?
The 52-week low for Cigna Group is $234.22. The current close of $280.91 is 19.9% above that low.
Does CI stock pay dividends?
Cigna Group pays a dividend. The latest dividend per share in the company data is $6.14, which implies a yield of 2.19% based on the current close.
What is the Debt / Equity ratio for CI?
Cigna Group's Debt / Equity ratio is 0.75.