The Cigna Group (CI): Valuation
TTM figures as of June 30, 2026
The Cigna Group trades at 11.9 times trailing earnings. On P/E that is higher than 11% of its own month-end history back to 2017. The Healthcare median P/E is 22.9.
Earnings yield 8.40%. Shareholder yield 3.62%. ROIC 20.9%. Piotroski F-score 8 of 9. Net cash $4.5B.
105 month-end valuation observations are on file, starting December 2017.
Sector comparison uses 2682 Healthcare names.
Frequently asked questions
Is CI cheap versus its own history?
The Cigna Group trades at 11.9 times trailing earnings. On P/E that is higher than 11% of its own month-end history back to 2017. The Healthcare median P/E is 22.9.
What is CI's free-cash-flow yield?
Free-cash-flow yield is trailing free cash flow divided by the live market cap. It is omitted when free cash flow is missing.
Where do these valuation figures come from?
Yields and quality metrics are computed from the same SEC TTM figures as the financials page, against the live market cap. Historical bands reconstruct month-end market cap from split-adjusted closes and the share count in the units it was filed, then divide by those dollar totals. Nothing here is a third-party estimate.