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CI
The Cigna GroupStock · HealthcareS&P 500 0.1%
$289.55+$3.26 (+1.14%)as of market close, Jul 24, 2026
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CI returns by year

The Cigna Group has returned +10.0% annually (CAGR) since 1983. Calendar-year, monthly and weekly total returns for The Cigna Group (CI) below, through July 24, 2026 — the most recent year is year-to-date.

Annualized (CAGR)
+10.0%
1983–2026
Average year
+16.1%
43 full years
Best year
+109.9%
2009
Worst year
-68.6%
2008
Positive years
31/43
72% up

The Cigna Group returns by year (19832026)#

Calendar-year returns with each year's path and its dividend contribution (dividend return = total minus price return).

The Cigna Group annual returns by year
YearTotal return
2026YTD
+6.4%
2025
+1.7%
2024
-6.3%
2023
-8.0%
2022
+46.7%
2021
+12.3%
2020
+1.8%
2019
+7.7%
2018
-6.5%
2017
+52.3%
2016
-8.8%
2015
+42.2%

Total return by period

-100%-50%+0%+50%+100%
'83'87'91'95'99'03'07'11'15'19'23

Methodology#

Returns are total returns (dividends reinvested), computed from CI's split- and dividend-adjusted closes. The bar chart switches between annual and monthly periods. Annualized return is the compound annual growth rate over the full period. The current year is year-to-date. See also the periodic table of returns. Past performance does not predict future returns; not investment advice.

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FAQ

What is The Cigna Group's average annual return?
Since 1983, The Cigna Group (CI) has returned about 10.0% a year (the compound annual growth rate) and an average calendar-year return of 16.1%.
What were The Cigna Group's best and worst years?
Over 1983–2026, the best year was 2009 (+109.9%) and the worst was 2008 (-68.6%).
How often is The Cigna Group up in a year?
31 of the 43 full years since 1983 were positive — about 72% of the time.