The Cigna Group
The Cigna Group, together with its subsidiaries, provides insurance and related products and services in the United States. It operates through two segments: Evernorth Health Services and Cigna Healthcare. The Evernorth Health Services segment includes Pharmacy Benefit Services and Specialty and Car…
What to know about CI
The Cigna Group is a large Healthcare company with a mixed financial profile. It scores well on valuation and risk, but profitability is worth keeping an eye on.
Should you consider CI?
Based on 31 financial metrics and sector comparison. Not financial advice.
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The Cigna Group is a large-cap Healthcare company with a mixed overall financial profile — it sits in the upper half of Healthcare stocks (25 of 59).
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Profit margins are thin compared to most S&P 500 peers — the company keeps less of each dollar it earns than the average. Watch for signs of margin improvement.
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Valuation looks attractive — the stock is priced reasonably relative to its earnings and sales compared to most peers. You're not overpaying for the business.
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The company is growing at a reasonable pace — not the fastest, but consistently moving in the right direction.
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This stock pays no dividend — your return depends entirely on the share price rising over time.
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Risk is relatively low — the stock tends to be less volatile than the broader market, which typically means a smoother ride during uncertain periods.
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Analyst sentiment is broadly positive and short interest is low — professionals who cover this stock are mostly optimistic about its near-term prospects.
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This is a mixed picture — real strengths in some areas, but areas that need watching too. Do your homework on the sector before deciding.
At a glance
How it scores
We look at 31 different financial metrics and group them into categories. Here's how CI compares to the other S&P 500 stocks.
Dive deeper — all 31 metrics 9 categories · valuation, growth, health, dividends & more Show all Hide
Valuation
Is the stock cheap or expensive relative to its earnings, sales, and assets? Lower multiples often mean better value.
| Metric | Value | vs S&P 500 |
|---|---|---|
| P/E Ratio (Trailing) | 11.17 | Top 25% |
| Forward P/E | 8.35 | Top 25% |
| PEG Ratio | 0.87 | Top 25% |
| Price to Sales | 0.27 | Top 25% |
| Price to Book | 1.75 | Top 25% |
| EV/EBITDA | 7.50 | Top 25% |
| Earnings Yield | 8.96% | Top 25% |
Profitability
How efficiently does the company turn revenue into profit? Higher margins mean more money kept from each dollar earned.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Gross Margin | 9.15% | Below avg |
| Operating Margin | 5.48% | Below avg |
| Net Profit Margin | 2.26% | Below avg |
| Return on Equity | 16.27% | Above avg |
| Return on Invested Capital | 4.78% | Average |
Growth
How fast is the business expanding? Strong growth in revenue and earnings signals increasing market demand.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Revenue Growth (YoY) | 4.60% | Average |
| Revenue Growth (3Y CAGR) | 15.15% | Top 25% |
| EPS Growth (YoY) | 29.10% | Above avg |
| Free Cash Flow Growth | -6.34% | Average |
Health
Can the company cover its debts and obligations? A healthy balance sheet reduces the risk of financial trouble.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Current Ratio | 0.82 | Below avg |
| Debt to Equity | 0.73 | Above avg |
| Interest Coverage | 6.53 | Average |
| Altman Z-Score | 2.67 | Average |
Dividends
Does the company pay shareholders, and is that payment growing and sustainable?
| Metric | Value | vs S&P 500 |
|---|---|---|
| Dividend Yield | — | N/A |
| Payout Ratio | — | N/A |
| Dividend Growth (5Y) | -4.85% | Above avg |
Cash Flow
Is real cash flowing into the business — not just accounting profits? Strong cash flow funds growth and dividends.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Free Cash Flow Yield | 10.37% | Top 25% |
| OCF to Sales | 1.83% | Below avg |
Risk
How volatile is the stock compared to the broader market? Lower beta and volatility mean a smoother ride.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Beta (1-Year) | 0.30 | Top 25% |
| Volatility (30-Day) | 29.66% | Above avg |
Sentiment
What do analysts and short-sellers think? High analyst ratings and low short interest signal broad confidence.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Short % of Float | 2.55% | Above avg |
| Avg. Analyst Rating | 1.54 | Top 25% |
| Target Upside % | 21.93% | Above avg |
Size
How large is the company by market value? Size affects stability, growth potential, and index inclusion.
| Metric | Value | vs S&P 500 |
|---|---|---|
| Market Capitalization | 73.88B | Above avg |
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