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Arch Capital Group (ACGL)

(Delayed Data from NSDQ)

$114.86 USD

114.86
1,286,053

+2.01 (1.78%)

Updated Oct 4, 2024 04:00 PM ET

After-Market: $114.84 -0.02 (-0.02%) 5:14 PM ET

Zacks Rank:

This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.

Zacks Rank Definition Annualized Return
1Strong Buy23.68%
2Buy17.55%
3Hold9.21%
4Sell4.93%
5Strong Sell2.36%
S&P50010.96%

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2-Buy of 5   2      

Style Scores:

The Style Scores are a complementary set of indicators to use alongside the Zacks Rank. It allows the user to better focus on the stocks that are the best fit for his or her personal trading style.

The scores are based on the trading styles of Value, Growth, and Momentum. There's also a VGM Score ('V' for Value, 'G' for Growth and 'M' for Momentum), which combines the weighted average of the individual style scores into one score.

Value Score A
Growth Score A
Momentum Score A
VGM Score A

Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F.

As an investor, you want to buy stocks with the highest probability of success. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style.

Zacks Style Scores Education - Learn more about the Zacks Style Scores

B Value D Growth C Momentum B VGM

Industry Rank:

The Zacks Industry Rank assigns a rating to each of the 265 X (Expanded) Industries based on their average Zacks Rank.

An industry with a larger percentage of Zacks Rank #1's and #2's will have a better average Zacks Rank than one with a larger percentage of Zacks Rank #4's and #5's.

The industry with the best average Zacks Rank would be considered the top industry (1 out of 265), which would place it in the top 1% of Zacks Ranked Industries. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%.

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Zacks Industry Rank Education -- Learn more about the Zacks Industry Rank

Top 6% (16 out of 251)

Industry: Insurance - Property and Casualty

Better trading starts here.

Zacks News

WRB or ACGL: Which P&C Insurance Stock Should You Buy?

Let's see how W.R. Berkley (WRB) and Arch Capital (ACGL) fare in terms of some of the key metrics.

Sun Life (SLF) to Acquire AAM, Boost Alternative Products

Sun Life Financial (SLF) agrees to buy Advisors Asset Management to boost the alternative investment capabilities of SLC Management.

Progressive (PGR) Stock Up 20% YTD: More Room for Growth?

A compelling product portfolio, leadership position, strength in both Vehicle and Property businesses, healthy policies in force and retention continue to drive Progressive (PGR).

Markel (MKL) Down 1.7% Since Last Earnings Report: Can It Rebound?

Markel (MKL) reported earnings 30 days ago. What's next for the stock? We take a look at earnings estimates for some clues.

Here's Why Hold Strategy is Apt for Fidelity National (FNF) Now

Fidelity National (FNF) to grow on solid retail annuity sales and F&G's interest in institutional markets, origination demand, focus on technological development, and effective capital deployment.

Is it Time to Add Radian Group (RDN) Stock in Your Kitty Now?

An improving mortgage insurance portfolio, declining claims, the well-performing homegenius segment and solid capital position poise Radian Group (RDN) well for growth.

Should Value Investors Buy Arch Capital Group (ACGL) Stock?

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.

American Equity (AEL) Up 17% in a Year: More Upside Left?

A compelling product portfolio, increasing popularity of index products in the market, focus on expansion into new verticals, solid balance sheet and effective capital poise American Equity (AEL) for growth.

Why You Should Stay Invested in Reinsurance Group (RGA) Stock

Reinsurance Group (RGA) stands to benefit from favorable claims experience, a higher invested asset base, solid capital position as well as prudent capital deployment.

Why You Should Stay Invested in Sun Life Financial (SLF) Stock

Sun Life Financial (SLF) is well-poised to gain from strategic acquisitions, growth in mutual fund sales and sufficient liquidity.

Brown & Brown (BRO) Gains 12% in a Year: More Upside Left?

Strong performing segments, strategic buyouts to capitalize on growing markets opportunities, sturdy financial standing and effective capital deployment continue to drive Brown & Brown (BRO).

Why Should You Stay Invested in Cboe Global (CBOE) Stock

Strong market position, global reach, strength in its proprietary products, solid capital position poise Cboe Global (CBOE) well for growth.

Palomar (PLMR) Stock Gains 18.2% YTD: More Room for Growth?

Palomar (PLMR) stock rallies on the back of the expansion of its distribution footprint as well as new partnerships, solid capital position, favorable growth estimates and effective capital deployment.

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Here's Why Should You Stay Invested in Willis Towers (WTW)

Segmental strength, solid capital position and favorable growth estimates make Willis Towers (WTW) stock worth retaining in one's portfolio.

Are Finance Stocks Lagging Arch Capital Group (ACGL) This Year?

Here is how Arch Capital Group (ACGL) and HSBC (HSBC) have performed compared to their sector so far this year.

Will Arch Capital (ACGL) Gain on Rising Earnings Estimates?

Arch Capital (ACGL) shares have started gaining and might continue moving higher in the near term, as indicated by solid earnings estimate revisions.

Travelers (TRV) Gains Nearly 8% YTD: More Upside Left?

Strong renewal rate change, high retention, increase in new business and effective capital deployment continue to drive Travelers (TRV).

Kinsale Capital (KNSL) Up 51.3% in a Year: More Upside Left?

Kinsale Capital (KNSL) stock rallies on the back of technology-driven low-cost operation, strong premium growth, lower relative expenses and effective capital deployment.

Here's Why Hold Strategy is Apt for Voya Financial (VOYA) Now

Voya Financial (VOYA) is poised to benefit from strategic buyouts, strong financial standing and effective capital deployment.

Here's Why You Should Hold Intercontinental (ICE) Stock Now

A compelling portfolio, expansive risk-management services, strategic buyouts, a solid balance sheet and effective capital deployment continue to drive Intercontinental (ICE).

Unum Group (UNM) Up 45.7% in a Year: More Room for Growth?

Unum Group (UNM) stock rallies on the back of strong persistency, higher net investment income and solid capital position.

Here's Why Should You Hold Nasdaq (NDAQ) Stock in Portfolio

Accelerating organic growth, focus on ramping up on-trading revenue base, strategic buyouts to capitalize on growing markets opportunities, effective capital deployment well poise Nasdaq (NDAQ) for growth.

Why Should You Stay Invested in CME Group (CME) Stock Now?

Increased volatility driving improved volumes should fuel clearing and transaction fees, improving non-transactional revenues and adequate financial flexibility bodes well for CME Group (CME).

Old Republic (ORI) Board OKs Special Dividend, Share Buyback

Old Republic's (ORI) special, one-time cash dividend of $1 per share and $450 million share buyback approval reflects its solid financial foundation and operational performance.

Here's Why Investors Should Hold Selective Insurance (SIGI)

Selective Insurance (SIGI) is well-poised to gain from higher direct new business, technology and process improvements, renewal pure price increases and solid capital position.