Valuation check: CI's ROE is 15.05%, below the Finance sector average of 16.71%.
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+ Follow15.05%
Return on Equity measures how efficiently a company uses shareholders' equity to generate profits. A higher ROE indicates better profitability relative to equity.
Cigna Group (The) (CI) currently reports a ROE of 15.05%. That is below the Finance sector average of 16.71%. Use the charts on this page to explore Cigna Group (The)'s ROE history and peer comparisons.
Cigna Group (The)'s ROE of 15.05% is lower than the Finance sector average of 16.71%. That is roughly 9.9% below the sector mean. A reading lower peers can reflect different growth expectations, capital structure, or profitability — so it is worth checking the peer comparison chart before drawing conclusions.
There is no universal 'good' ROE, but Cigna Group (The)'s current 15.05% should be judged against Finance norms (sector average: 16.71%) and against CI's own history. Strong, stable readings often indicate durable competitive advantage; volatile or declining ones deserve a closer look at margins and capital efficiency.
Start with the current ROE of 15.05%, then check the historical chart for trend and the peer comparison chart for relative positioning. The Finance average is 16.71%. From there, open related valuation or income-statement pages for Cigna Group (The), and consider following CI for alerts when major investors trade the stock.
Cigna Group (The) is classified in the Finance sector. On ROE, it currently shows 15.05% versus a sector average near 16.71%. Sector peers often share similar capital intensity and growth regimes, so relative rankings inside Finance are usually more informative than comparing CI with unrelated industries.