Cigna Group (CI) stock — the fundamentals (P/E, market cap, valuation) and every material event, decoded in plain English.
Key numbers for Cigna Group (CI): P/E ratio, market cap, profit margins, returns, and whether the stock looks cheap or expensive versus its own 5-year range.
AllSight quality score: 59/100 — a percentile rank of Cigna Group’s fundamentals against Finance & Real Estate peers, weakest on profitability. A quality ranking, not a price prediction.
| Market cap | $71.8B |
| P / E | 11.2× |
| P / S | 0.3× |
| EV / EBITDA | 8.4× |
| Gross margin | 8.8% |
| Operating margin | 3.2% |
| Net margin | 2.5% |
| Return on equity | 15.0% |
| ROIC | 10.5% |
| Revenue growth | 7.7% |
| Debt / equity | 0.8× |
| Dividend yield | 2.3% |
Is Cigna Group overvalued? P/E looks undervalued vs its 5-year range; P/S looks undervalued vs its 5-year range; EV/EBITDA looks undervalued vs its 5-year range; P/B looks undervalued vs its 5-year range.
Independent of the events above — derived from Cigna Group’s own financial statements and shown as context, never as advice.
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