Cigna Group CI

272.01 6.51 2.45% as of 25 Sep
Market cap
$69.9B
P/E
11.3×
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Cigna Group (CI) Return on invested capital

Cigna Group's return on invested capital over the twelve months to 30 June 2026 was 9.09%, up 0.3 percentage points from fiscal 2025 (8.76%). Over the past ten years it has ranged from 3.26% (fiscal 2018) to 15.2% (fiscal 2017); the current reading is higher than 64% of that period. That is above the Healthcare Plans industry median of 2.04% and above the Healthcare sector median of 0.00%.

Return on invested capital, annual

Annual

Period Return on invested capital Change (points)
FY2025 8.76% (0.20)
FY2024 8.96% 1.27
FY2023 7.69% 0.13
FY2022 7.56% 1.01
FY2021 6.55% (0.42)
FY2020 6.97% 0.51
FY2019 6.46% 3.20
FY2018 3.26% (11.97)
FY2017 15.2% 2.84
FY2016 12.4% (1.25)

Against its own ten years

Low 3.26% High 15.2%
Ten-year median 7.69%
Current reading's percentile 64

Return on invested capital against peers

Company Return on invested capital
HUM Humana Inc. compare 17.5%
ELV Elevance Health, Inc. compare 11.8%
UNH UnitedHealth Group Incorporated compare 9.50%
CI Cigna Group 9.09%
CVS CVS Health Corporation compare 4.07%
OSCR Oscar Health, Inc. compare 0.00%
MOH Molina Healthcare, Inc compare 0.00%
CLOV Clover Health Investments, Corp. compare −8.62%
CNC Centene Corporation compare −30.2%
Healthcare Plans industry median 2.04%
Healthcare sector median 0.00%
Market median 0.00%

What Return on invested capital is

Return on Invested Capital shows how much after-tax operating profit a company earns on the money its lenders and shareholders have put in.

TTM: (Operating Income × 0.625) ÷ (Shareholders Equity (Total) (latest quarter) + Long Term Debt (Total) (latest quarter) + Current Part of Debt (latest quarter) − Cash & Short Term Investments (latest quarter)); Annual: (Operating Income × 0.625) ÷ (Shareholders Equity (Total) + Long Term Debt (Total) + Current Part of Debt − Cash & Short Term Investments)

The full definition of Return on invested capital →

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