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The Cigna Group (CI) Stock Analysis — Fair Value, Risk & Moat Rating

NYQ · Healthcare · Healthcare Plans

$279.92 1.28 (0.5%) As of Apr 20, 2026
Overall Verdict Caution
2.15
Altman Z-ScoreGray Zone
$529.54
Fair ValueUndervalued +47.1%
2.3
Moat RatingWeak moat
TL;DR · Audit Summary

Is The Cigna Group a safe investment right now?

The Cigna Group's Altman Z-Score of 2.15 places it in the gray zone. Our DCF model estimates intrinsic value at $529.54, suggesting the stock may be undervalued by 47%. Moat rating: 2.3/5 stars.

Section 01 · Financial Health

Could The Cigna Group go bankrupt? Altman Z-Score analysis

2.15

Z-Score of 2.15 places the company in the gray zone (1.8-3.0), warranting closer scrutiny.

  • Below 1.8 — Distress Zone (high bankruptcy risk)
  • 1.8 to 3.0 — Gray Zone (elevated uncertainty)
  • Above 3.0 — Safe Zone (financially healthy)

What drives CI's Z-Score?

Altman Z-Score components for CI
ComponentFormulaValueWeightContribution
A · Working Capital / Total AssetsWC / TA-0.05841.2-0.07
B · Retained Earnings / Total AssetsRE / TA0.27921.40.39
C · EBIT / Total AssetsEBIT / TA0.05483.30.18
D · Market Cap / Total LiabilitiesMCap / TL0.65230.60.39
E · Revenue / Total AssetsRev / TA1.25271.01.25

How has CI's financial health changed over time?

3.0 Safe1.8 Distress0.01.02.03.04.020182019202020212022202320242025
CI Z-Score history
YearZ-ScoreZone
20182.07Gray
20190.81Distress
20200.91Distress
20211.78Distress
20221.86Gray
20232.12Gray
20242.08Gray
20252.15Gray

Source: Calculated from CI's latest 10-K filing on SEC EDGAR.

Section 02 · Fair Value (FVL Valuation System)

What is The Cigna Group actually worth?

Blended Fair Value · FVL Estimate$529.54
vs
Market Price · today$279.92

Fair value range: $378.77 — $845.48

Margin of Safety 47.1% Stock appears undervalued by 47.1% — positive margin of safety. Fair value range $379-$845.

Valuation Methods

FVL multi-factor valuation breakdown
MethodFair ValueWeightDetail
Historical PE × Forward EPS$378.7750%14.2x avg PE (4 years) × $26.67 forward EPS
DCF (Discounted Cash Flow)$845.4830%Two-stage DCF: $9.8B TTM FCF, 4.2% growth, 7.0% WACC
EV/FCF Multiple$432.5520%TTM FCF × 14x multiple + net cash

Assumptions & Data Sources

Valuation model inputs
ParameterValueSource
FCF Growth Rate (Stage 1)4.2%70% analyst consensus + 30% historical
Analyst EPS Growth (This Year)1.6%Consensus (24 analysts)
Analyst EPS Growth (Next Year)10.2%Consensus
Historical 5Y FCF CAGR0%SEC EDGAR
Terminal Growth Rate2.5%Long-term GDP proxy
Discount Rate (WACC)7.0%CAPM (Rf=4.3% + 0.5*5.5%)
Net Cash / (Debt)$-22,731MBalance sheet
Base FCF (TTM)$9.8BTrailing 12 months
Shares Outstanding263,660,761Latest

Sensitivity Analysis

DCF intrinsic value at different growth & WACC assumptions
Growth Rate8% WACC10% WACC7.0% WACC13% WACC
0%$596.50$440.81$726.02$318.07
2.5%$690.57$506.41$844.02$361.72
5.0%$798.49$581.39$979.69$411.33
7.5%$945.73$682.01$1,166.37$476.41

Free Cash Flow History

CI Free Cash Flow history
YearFCFGrowth
2018$3.6B
2019$3.6B+1.4%

Source: FCF data from SEC EDGAR filings. Price via Yahoo Finance.

Section 03 · Competitive Moat

Does The Cigna Group have a durable competitive advantage?

★★☆☆☆
Weak moat

Moat rating: 2.3/5.

What makes up CI's moat score?

ROIC Stability

★★☆☆☆

ROIC variability over the past decade. Score: 2/5.

Gross Margin Trend

★★★☆☆

Gross margin trajectory over the past decade. Score: 3/5.

Switching Costs

★★☆☆☆

Estimated customer lock-in based on margin level. Score: 2/5.

How stable is CI's return on invested capital?

0%-5%-0%4%9%14%20182019202020212022202320242025
CI ROIC history
YearROICTrend
20186.1%
20193.2%Declining
20203.6%Stable
20216.8%Rising
20227.3%Stable
20237.7%Stable
20248.1%Stable
20258.7%Stable

Source: ROIC calculated from SEC EDGAR filings.

Section 04 · Dividend Safety

Is The Cigna Group's dividend safe?

A Dividend Safety Grade
Yield223.0%
Payout Ratio27.2%
Consecutive Years45
5Y Growth Rate-17.2%

Can The Cigna Group afford its dividend?

Payout ratio is 27.2%. FCF covers the dividend 237.7x. 45 consecutive years of payments.

Section 05 · Financial Summary

The Cigna Group's key financial metrics

CI financial summary
MetricLatest1Y Ago3Y AgoTrend
Revenue $195.3B $180.5B $160.4B Rising
Net Income $5.2B N/A N/A
Free Cash Flow $3.6B $3.6B N/A
Section 06 · FAQ

Common questions about The Cigna Group

Is The Cigna Group at risk of going bankrupt?

The Cigna Group's Altman Z-Score of 2.15 places it in the gray zone. This metric uses balance sheet ratios to predict bankruptcy probability within 2 years. A score below 1.8 signals distress, while above 3.0 indicates safety.

What is The Cigna Group's intrinsic value based on DCF?

Our DCF model estimates The Cigna Group's intrinsic value at $529.54 per share. The current margin of safety is 47.1%. This estimate is based on historical free cash flow trends and a risk-adjusted discount rate.

Does The Cigna Group have a competitive moat?

The Cigna Group receives a moat rating of 2.3 out of 5 stars, based on ROIC stability, gross margin trends, and estimated switching costs. A rating above 3.5 suggests a durable competitive advantage.

Is The Cigna Group's dividend safe?

Our dividend safety analysis examines payout ratio, free cash flow coverage, and the company's streak of consecutive dividend payments to determine whether the current payout is sustainable.

CI · Value Investing Quiz

Before you invest in The Cigna Group, make sure you truly understand it.

A deep understanding of a company's fundamentals, risk profile, and competitive position dramatically increases your investment accuracy and odds of success.

Pass the quiz to earn the CI Certified Value Investor badge.

FairValueLabs Disclaimer

All valuations, scores, ratings, and classifications on this page are produced by the FairValueLabs internal valuation system. They do not represent actual market value, guaranteed outcomes, or professional investment advice. These are analytical estimates for educational and research purposes only.

This is not financial advice. All data is sourced from SEC EDGAR public filings. Always consult a qualified financial advisor before making investment decisions.

Last updated: Apr 20, 2026. Data sources: SEC EDGAR (financial statements), Yahoo Finance (market data, analyst consensus). Data may not reflect the most recent quarter.

CI analysis methodology: How we calculate fair value, Z-Scores, and moat ratings