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At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P 500 with an average gain of +23.68% per year. These returns cover a period from January 1, 1988 through August 5, 2024. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The monthly returns are then compounded to arrive at the annual return. Only Zacks Rank stocks included in Zacks hypothetical portfolios at the beginning of each month are included in the return calculations. Zacks Ranks stocks can, and often do, change throughout the month. Certain Zacks Rank stocks for which no month-end price was available, pricing information was not collected, or for certain other reasons have been excluded from these return calculations. Zacks may license the Zacks Mutual Fund rating provided herein to third parties, including but not limited to the issuer.
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Zacks News
AXS vs. BRK.B: Which Stock Is the Better Value Option?
by Zacks Equity Research
AXS vs. BRK.B: Which Stock Is the Better Value Option?
Cincinnati Financial (CINF) Gains 9% QTD: Should You Buy It?
by Zacks Equity Research
Higher level of insured exposures, rate increase, agent-focused business model, consistent cash flow and a solid capital position continue to drive Cincinnati Financial (CINF).
Factors That Make Marsh & McLennan (MMC) an Attractive Bet Now
by Zacks Equity Research
Marsh & McLennan (MMC) is well-poised for growth on its solid Risk and Insurance Services segment, as well as the prudent deployment of capital.
Arch Capital (ACGL) Rallies 69% in a Year: More Room to Run?
by Zacks Equity Research
Arch Capital (ACGL) stock rallies on the back of favorable estimates, improved invested assets, rate increases, growth in existing accounts and a solid capital position.
Axis Capital (AXS) Down 1.6% Since Last Earnings Report: Can It Rebound?
by Zacks Equity Research
Axis Capital (AXS) reported earnings 30 days ago. What's next for the stock? We take a look at earnings estimates for some clues.
Hartford Financial (HIG) Improves Offerings With Beam Benefits
by Zacks Equity Research
Hartford Financial (HIG) collaborates with Beam Benefits to offer dental and vision plans to small employers' clients.
Here's Why Investors May Consider Betting on Chubb (CB) Now
by Zacks Equity Research
Chubb (CB) stands to gain from new business and strong renewal retention, acquisitions, higher reinvestment rates and effective capital deployment.
Reasons Why Investors Should Hold Brighthouse Financial (BHF)
by Zacks Equity Research
Brighthouse Financial (BHF) stands to gain from the sales of life insurance products, higher Annuity sales, conservative investment strategy and sufficient liquidity.
Reasons Why Investors Should Retain American Financial (AFG)
by Zacks Equity Research
American Financial (AFG) stands to gain from rate increases, higher retentions in renewal business, a rise in average renewal pricing, stronger underwriting profit and improved guidance.
Here's Why You Should Hold Reinsurance Group (RGA) Stock Now
by Zacks Equity Research
Reinsurance Group (RGA) is poised to gain from higher transaction and other fees, favorable estimates, stronger invested asset base, improved risk-free rates earned on new investments and prudent capital deployment.
Here's Why You Should Hold RenaissanceRe (RNR) Stock Now
by Zacks Equity Research
An improving top line, led by higher premiums, fees and net investment income, may poise RenaissanceRe (RNR) well for growth.
Why Axis Capital (AXS) is a Great Dividend Stock Right Now
by Zacks Equity Research
Dividends are one of the best benefits to being a shareholder, but finding a great dividend stock is no easy task. Does Axis Capital (AXS) have what it takes? Let's find out.
Here's Why You Should Hold Selective Insurance (SIGI) Stock
by Zacks Equity Research
Selective Insurance (SIGI) is well-poised to gain from exposure growth, solid retention rates, strong new business growth and higher income earned on fixed-income securities portfolio.
CNO Financial (CNO) Unit Ties Up to Boost Advocacy Services
by Zacks Equity Research
CNO Financial's (CNO) unit, Optavise, collaborates with SentryHealth to bolster its portfolio of advocacy services and assure the well-being of its employers' workforce.
Here's Why You Should Hold CNA Financial (CNA) Stock Now
by Zacks Equity Research
CNA Financial (CNA) is poised to grow on the back of a strong rate, higher income from limited partnership, improved net earned premium and sufficient liquidity.
Here's Why You Should Retain Unum Group (UNM) Stock Now
by Zacks Equity Research
Unum Group (UNM) stands to gain from favorable benefits experience, strong persistency in group lines, higher sales in the Colonial Life segment and prudent capital deployment.
Are Investors Undervaluing Axis Capital Holdings (AXS) Right Now?
by Zacks Equity Research
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.
RLI Expects Q3 Cat Loss of $65-$75M From Hawaii Wildfire
by Zacks Equity Research
Catastrophe losses from Hawaiian wildfires are likely to be reflected in RLI's third-quarter results.
American Financial (AFG) to Share More Profits, Ups Dividend
by Zacks Equity Research
American Financial's (AFG) steadfast commitment to increasing shareholder value through consistent dividend growth and strategic capital deployment makes it a reliable and financially sound investment choice.
5 P&C Insurance Stocks With Modest Dividend Yield to Watch
by Sushmita Sarker
Here we pick five insurance stocks -- Axis Capital (AXS), American Financial (AFG), First American Financial (FAF), Travelers (TRV) and CNA Financial (CNA) -- with a solid five-year dividend growth history.
Here's Why You Should Hold NMI Holdings (NMIH) Stock Now
by Zacks Equity Research
NMI Holdings (NMIH) is poised to grow on the back of increased policy pricing, higher single premium policy cancellations, improved investment income and prudent capital deployment.
First American (FAF) Rewards Shareholders With 2% Dividend Hike
by Zacks Equity Research
First American's (FAF) recent 2% hike in dividend reflects its intention to enhance shareholder value, which is supported by its strong financial position.
Here's Why You Should Retain Palomar Holdings (PLMR) for Now
by Zacks Equity Research
Palomar Holdings' (PLMR) strong Earthquake, Inland Marine and Excess Property business, improving net investment income and improved 2023 outlook poise it well for growth.
Here's Why You Should Stay Invested in Progressive (PGR) Stock
by Zacks Equity Research
Progressive (PGR) seems well poised on improving premium, steady policy life expectancy, investment in technology and a solid capital position.
AXS vs. BRK.B: Which Stock Should Value Investors Buy Now?
by Zacks Equity Research
AXS vs. BRK.B: Which Stock Is the Better Value Option?