BackArlington Asset Investment Overview
Arlington Asset Investment Corp - Class A

Arlington Asset Investment Return on Equity

Latest ROE for Arlington Asset Investment: 499.42% — see history and peer comparisons.

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ROE

499.42%

Return on Equity

499.42%

Return on Equity measures how efficiently a company uses shareholders' equity to generate profits. A higher ROE indicates better profitability relative to equity.

Average ROE (Comparison Companies)

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ROE History

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ROE Comparison

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Arlington Asset Investment (AAIC) FAQ

Arlington Asset Investment posts a ROE of 499.42%. That is above the Finance sector average of 16.71%. Comparing that reading with peers and prior periods is usually more useful than looking at the number in isolation.

For Finance stocks, a ROE near 16.71% is typical. Arlington Asset Investment's 499.42% is higher that level. That is roughly 2889.4% above the sector mean. Whether that is a warning or an opportunity depends on growth outlook and other fundamentals shown elsewhere on Stockcircle.

Arlington Asset Investment's ROE moves when the underlying profit, equity, or asset base changes. Cost cuts, pricing power, buybacks, write-downs, and cyclical swings can all shift the percentage. The latest reading is 499.42%; use YoY and peer views to separate noise from signal.

Context for AAIC's ROE usually means three checks: (1) trend versus prior periods, (2) level versus peers (average 16.71%), and (3) consistency with growth and profitability. This page covers the first two; Arlington Asset Investment's other metric pages and overview cover the third.

Judging Arlington Asset Investment against Finance peers is usually better than using a market-wide rule of thumb. Business models inside Finance are more comparable, which makes gaps in ROE easier to interpret. Start with 499.42% here, then scan peer and history charts to see if the gap is persistent.