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MARKEL GROUP (MKL)

(Delayed Data from NYSE)

$1,545.00 USD

1,545.00
68,662

+2.99 (0.19%)

Updated Nov 1, 2024 04:00 PM ET

After-Market: $1,545.74 +0.74 (0.05%) 7:58 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 Buy24.10%
2Buy17.80%
3Hold9.50%
4Sell2.70%
5Strong Sell2.70%
S&P50011.20%

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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

A Value D Growth B 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%.

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

Top 17% (42 out of 250)

Industry: Diversified Operations

Better trading starts here.

Zacks News

Everest Re Gains From Wide Product Portfolio, Cat Loss a Woe

Everest Re (RE) continues to impress with wide product portfolio, top-line growth and robust capital position. However, exposure to cat loss remain a dampener.

CNA Financial Gains From Premium Growth, Costs on the Rise

CNA Financial (CNA) continues to impress with premium growth, better performing Long Term Care business and robust capital position. However, rising costs remain a dampener.

Alleghany's (Y) Top-Line Growth Impresses, Cat Loss a Woe

Alleghany's (Y) top-line improvement, strategic initiatives and a robust capital position continue to encourage investors. However, exposure to cat loss persists to be a spoiler.

Allstate to Offer Identity Protection With InfoArmor Buyout

Allstate (ALL) acquires InfoArmor to expand its Benefits business offering.

Unum Group Expands Base in Poland With Pramerica Buyout

Unum Group's (UNM) acquisition of Pramerica will help widen its footprint in Poland as well as strengthen its financial protection offering.

    Markel (MKL) to Acquire Brahmin Through Markel Venture

    Markel (MKL) lends a nod to buy Brahmin in tandem with its strategy to invest in profitable business beyond insurance via Markel Ventures.

      Brown & Brown's Unit Buyout to Improve Service Portfolio

      Brown & Brown (BRO) arm buys Vandroff Insurance, which is anticipated to add value to its service portfolio while providing a combination of coverage, service and price.

        Arthur J. Gallagher Consolidates Portfolio With Buyout

        Arthur J. Gallagher's (AJG) buyout of Rogers & Young Insurance Services will help it solidify its portfolio of coverages to better serve clients in San Francisco and Oregon.

          Markel's Premium Growth Encourages, Rising Costs a Drag

          Markel (MKL) continues to gain from consistent premium growth, strategic buyouts and a strong capital position. However, rising expenses are a spoiler.

            Markel to Brace Berth in Insurance-Linked Securities Sector

            Markel (MKL) envisions to be the largest manager of funds in insurance-linked securities sector with the buyout of Nephila Holdings Limited.

              Markel (MKL) Up 0.3% Since Last Earnings Report: Can It Continue?

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

                Markel (MKL) Hits 52-Week High: Can the Bull Run Continue?

                Markel (MKL) scales 52-week high in Aug 21 trading session on strong second-quarter 2018 earnings.

                  Markel (MKL) Q2 Earnings & Revenues Top Estimates, Up Y/Y

                  Markel (MKL) Q2 reflects higher revenues and improved premiums at the Insurance segment.

                    7 Reasons Why You Should Add Markel (MKL) to Your Portfolio

                    We focus on seven factors, which make Markel (MKL) an attractive pick for investors.

                      Progressive's (PGR) May Earnings Ride on Higher Revenues

                      Progressive's (PGR) May earnings reflect an improved top line as well as solid policies in force.

                        Here's Why You Must Add AXIS Capital (AXS) to Your Portfolio

                        AXIS Capital (AXS) looks promising to earn better returns for investors owing to six factors.

                          Arch Capital Stock to Split, Shares to be More Affordable

                          Arch Capital's (ACGL) stock spilt for 3:1 to lower value of the same shares and in turn, increase the stock's liquidity.

                            Here's Why You Should Retain Chubb (CB) in Your Portfolio

                            Chubb (CB) promises a better reward for investors on the back of seven factors.

                              Navigators Group Stock Rallies 13% in a Year: Here's Why

                              Shares of Navigators Group (NAVG) rise 13% in a year, backed by solid fundamentals and initiatives to ramp up growth.

                                Markel or XL Group: Which Insurer to Bet on Post Q1 Results?

                                On a comparative assessment, we try and find out which stock, Markel (MKL) or XL Group (XL) is a more attractive pick pertaining to fundamentals.

                                  6 Reasons to Hold Marsh & McLennan (MMC) in Your Portfolio

                                  Marsh & McLennan (MMC) emerges as a prudent pick for investors' portfolio as the stock assures better returns, banking on six factors.

                                    7 Reasons Why You Should Retain Nasdaq in Your Portfolio

                                    Nasdaq (NDAQ) appears profitable, promising better reward for investors on the back of seven factors.

                                      Travelers Impresses With Revenue Growth, Cat Loss a Woe

                                      Travelers (TRV) continues to raise optimism with revenue growth, wide range of product offerings and a robust capital position. However, cat loss exposure remains a drag.

                                        Brown & Brown's Unit Boosts Service Portfolio With Buyout

                                        Brown & Brown's (BRO) subsidiary buys almost all the assets of Automotive Development Group of late. This move is likely to boost the company's presence and improve its growth in the auto/F&I space.

                                          Brown & Brown's Revenue Growth Impressive, High Costs a Woe

                                          Brown & Brown (BRO) continues to buoy hope with revenue growth, wide range of product offerings and a robust capital position. However, rising expenses raise a concern.