Assurant, Inc.

NYSE:AIZ Rapport sur les actions

Capitalisation boursière : US$12.7b

Assurant Croissance future

Future contrôle des critères 1/6

Assurant devrait augmenter ses bénéfices et son chiffre d'affaires de 6.3% et de 5% par an respectivement. Le BPA devrait croître de de 6.8% par an. Le rendement des capitaux propres devrait être 16.2% dans 3 ans.

Informations clés

6.3%

Taux de croissance des bénéfices

6.81%

Taux de croissance du BPA

Insurance croissance des bénéfices2.0%
Taux de croissance des recettes5.0%
Rendement futur des capitaux propres16.21%
Couverture par les analystes

Low

Dernière mise à jour26 May 2026

Mises à jour récentes de la croissance future

Recent updates

Mise à jour du récit May 26

AIZ: Future Returns Will Rely On Buybacks And Durable Underwriting Resilience

Analysts have raised their average price target on Assurant to about $276.83 from $260, citing recent stock performance, a series of target increases across the insurance carrier group, and confidence that the company can sustain a durable growth profile despite a softer P&C backdrop. Analyst Commentary Recent research updates on Assurant cluster around higher price targets and a more positive stance on the stock, even as the broader P&C backdrop is described as soft.
Mise à jour du récit May 06

AIZ: Future Returns Will Depend On Buybacks And Margin Resilience

Analysts have trimmed their price target on Assurant by around $8 to reflect slightly higher discount rate assumptions, somewhat softer projected revenue growth, as well as modestly higher expected profit margins and future P/E estimates. Analyst Commentary Bullish Takeaways Bullish analysts view the updated price targets as still supportive of the current valuation, even after factoring in slightly higher discount rate assumptions.
Mise à jour du récit Apr 21

AIZ: Future Upside Will Rely On Buybacks And Margin Stabilisation

Analysts have trimmed their price target on Assurant by about $1 to $260, citing slightly lower profit margin expectations, offset by a modestly higher assumed future P/E multiple. Analyst Commentary Bullish Takeaways Bullish analysts appear comfortable assigning a slightly higher assumed future P/E multiple, which suggests they still see room for valuation support despite the trimmed price targets.
Mise à jour du récit Apr 06

AIZ: Future Returns Will Rely On Buybacks And Steadier Earnings Assumptions

Analysts reduced their price target on Assurant by $9 to reflect updated assumptions around revenue growth, profit margins and future P/E expectations, while keeping the underlying fair value estimate essentially unchanged. Analyst Commentary Analysts framed the US$9 price target cut as a fine tuning of their models rather than a shift in their long term view, pointing to revised assumptions on revenue growth, margins and future P/E levels.
Mise à jour du récit Mar 22

AIZ: Future Returns Will Rely On Buybacks And Refined Earnings Risk Profile

Analysts have trimmed their price target on Assurant by $9 to reflect updated views on the company's risk profile and earnings outlook, while keeping key valuation inputs broadly unchanged. Analyst Commentary Bullish Takeaways Bullish analysts view the updated price target as still consistent with a core investment case that has not materially changed.
Mise à jour du récit Mar 08

AIZ: Future Returns Will Rely On Buybacks And P/E Multiple Resilience

Assurant's analyst price target has been trimmed by $9, as analysts factor in modest changes to revenue growth, profit margin, and a slightly lower assumed future P/E multiple following recent research updates. Analyst Commentary Bullish Takeaways Bullish analysts see the updated price target trim as a fine tuning of assumptions around revenue growth and profit margins rather than a shift in the core investment case.
Mise à jour du récit Feb 21

AIZ: Future Returns Will Rely On Capital Returns And P&E Resilience

Analysts now estimate fair value for Assurant at about $261, up from roughly $259. They cite adjusted expectations for revenue growth, profit margins and future P/E assumptions, even as some firms, including BMO Capital with its recent $9 price target reduction, have fine tuned their views.
Mise à jour du récit Feb 06

AIZ: Future Returns Will Balance Capital Returns And A Softer P&C Cycle

Narrative Update on Assurant Analysts have lifted their price target on Assurant by US$16 to US$248, citing refreshed insurance sector models following Q3 results and updated assumptions around the property and casualty cycle heading into 2026. Analyst Commentary Recent research points to a more refined view of Assurant's outlook, with updated sector models after Q3 and a higher price target of US$248.
Mise à jour du récit Jan 21

AIZ: Future Returns Will Reflect Capital Returns And A Softer Cycle

Narrative Update on Assurant Analysts have nudged their price views on Assurant higher, with a key target moving to $248 from $232 as refreshed insurance models factor in updated post Q3 assumptions and a more measured outlook for the property and casualty cycle heading into 2026. Analyst Commentary Recent research updates point to a more constructive stance on Assurant, with refreshed insurance models and a higher reference price reflecting how analysts are recalibrating expectations after the Q3 reporting season.
Mise à jour du récit Jan 07

AIZ: Future Returns Will Reflect Resilient Margins And A Softer Cycle

Narrative Update on Assurant Analysts have lifted their fair value estimate for Assurant by about US$2 to roughly US$256, citing updated sector models and a revised US$248 price target that reflects their latest views on the insurance cycle. Analyst Commentary Recent Street research on Assurant focuses on refreshed insurance models after Q3, a revised US$248 price target, and how a potentially softer property and casualty cycle heading into 2026 could influence results and valuation.
Mise à jour du récit Dec 18

AIZ: Future Returns Will Lean On Resilient Margins Amid Softer Insurance Cycle

Analysts modestly raised their price target on Assurant to $248, reflecting updated post Q3 insurance sector models and a view that the company can navigate anticipated softening in property and casualty markets heading into 2026. Analyst Commentary Recent Street research on Assurant highlights a constructive view on valuation support and earnings durability, even as the broader property and casualty backdrop shows signs of softening heading into 2026.
Seeking Alpha Dec 16

Assurant: Letting The Cat Out Of The Bag

Summary Assurant is a niche P&C insurer with strong recent EPS growth, but earnings are highly sensitive to catastrophe losses. AIZ's Q3 2025 EPS beat was driven by unusually low catastrophe losses, not underlying business outperformance. Management reports focus on 'ex cat' results, masking the true volatility and risk from increasing catastrophe exposures. I rate AIZ an opportunistic Buy for the upcoming earnings season, but not a long-term Buy due to limited Cat transparency. Read the full article on Seeking Alpha
Mise à jour du récit Dec 04

AIZ: Future Returns Will Build On Resilient Margins In Softer Insurance Cycle

Analysts have nudged their price target on Assurant higher to reflect a modestly improved profit margin outlook and more favorable long term earnings visibility, even as revenue growth expectations ease slightly and sector models are recalibrated following recent updates in the insurance space. Analyst Commentary Recent Street research reflects a generally constructive stance on Assurant, with multiple price target increases indicating improved confidence in earnings durability and capital deployment, even as the sector backdrop for property and casualty moderates.
Mise à jour du récit Nov 20

AIZ: Share Momentum Will Build On Resilience In Softening Insurance Cycle

Analysts have increased their average price target for Assurant from $246 to approximately $253.67. They cite updated industry models following recent quarterly reports and expectations for modest improvements in revenue growth, despite a challenging property and casualty insurance cycle.
Mise à jour du récit Nov 05

AIZ: Future Share Gains And Operating Efficiency Will Drive Outperformance

Analysts have slightly raised their price target for Assurant to $246.00 from $245.17 per share. They cite positive momentum, as reflected in recent Street research updates and improved profit margin projections.
Mise à jour du récit Oct 22

Analysts Raise Assurant Price Target as Positive Trends Support Improved Valuation Outlook

Assurant's analyst price target has been modestly increased by $1.67 to $245.17, as analysts point to ongoing positive revenue trends and improved profitability, which support a slightly higher valuation outlook. Analyst Commentary Recent street research highlights a range of perspectives on Assurant's outlook.
Mise à jour du récit Oct 08

AI And Device Protection Will Expand Global Markets

Assurant's analyst price target has been increased from $241 to $243.50. Analysts cite steady revenue growth and a positive sector outlook, despite ongoing challenges in commercial property and casualty markets.
Mise à jour du récit Sep 05

AI And Device Protection Will Expand Global Markets

Assurant’s price target was reaffirmed at $241.00, as analysts cited solid Q2 results, ongoing earnings momentum, and market share gains, despite broader sector headwinds and minimal change in key valuation metrics. Analyst Commentary Bullish analysts point to Assurant's positive Q2 earnings momentum and upward earnings estimate revisions.
Seeking Alpha Mar 04

Assurant: Consistent Growth Through Strategic Partnerships And Focus

Summary Assurant Inc. is a market leader in mobile device, electronics, auto and home renter's insurance, focusing on capital-light, recurring revenue segments, making it a less risky investment. The company has shown consistent revenue and earnings growth, supported by strong business relationships and a B2B2C distribution model. Despite challenges like catastrophic losses and investment income volatility, Assurant's dividend safety and growth streak make it a strong candidate for dividend growth portfolios. Currently undervalued with a fair value estimate of $226.80, Assurant is a buy, supported by bullish Wall Street analyst ratings and strong financial metrics. Read the full article on Seeking Alpha
Seeking Alpha Sep 11

Assurant: Niche Markets Lead To Consistent Growth

Summary Assurant, a niche insurer with recurring revenue, has shown consistent long-term growth and returns cash to shareholders through buybacks and dividends, making it a long-term buy. Despite challenges from severe weather and the potential for catastrophic losses, Assurant's capital-light model and recurring revenue streams provide stability and growth potential. The company's 20-year streak of dividend increases, low payout ratio, and strong financial ratings underscore its dividend safety and attractiveness for dividend growth investors. Assurant stock is undervalued with a forward P/E ratio of 11.6X, suggesting significant upside potential based on fair value estimates ranging from $215.80 to $276.61. Read the full article on Seeking Alpha
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Nouveau récit Aug 25

Innovations In Connected Living And Global Housing Segments Promise Robust Revenue And EBITDA Growth

Expansion in Connected Living and partnerships are set to boost revenue growth and improve market penetration without specifying values.
Seeking Alpha Jul 12

Assurant: The Growth Story Remains Solid

Summary Assurant trades at 10x FWD earnings, which is very cheap in relation to its growth potential. The company focuses on unique insurance products like mobile device solutions and homeowners insurance. Assurant's Global Housing segment saw a remarkable 181% increase in adjusted EBITDA, driving overall strong performance and future growth prospects. Shares are a buy with price target of $210. Read the full article on Seeking Alpha
Seeking Alpha Jan 11

Assurant: My Peter Lynch Story, But The Stock Is A Hold

Summary Assurant is an insurance company that offers property, casualty, and preneed insurance products. The company has a long history and has more than quadrupled since its IPO in 2004, while also paying increasing dividends since the IPO. AIZ is trading at a reasonable multiple and has recently increased its annual dividend by 3% on top of a new buyback program. After a 60% run in 10 months, I recommend waiting for a pullback before initiating a position. Read the full article on Seeking Alpha

Prévisions de croissance des bénéfices et des revenus

NYSE:AIZ - Estimations futures des analystes et données financières antérieures (USD Millions )
DateRecettesLes revenusFlux de trésorerie disponibleCash from OpMoy. Nombre d'analystes
12/31/202814,8541,173N/AN/A1
12/31/202714,6481,086N/AN/A3
12/31/202613,8551,000N/AN/A3
3/31/202613,1609921,4521,682N/A
12/31/202512,8148651,5981,834N/A
9/30/202512,5698401,0221,266N/A
6/30/202512,3057089691,197N/A
3/31/202512,0716611,4191,643N/A
12/31/202411,8787531,1111,333N/A
9/30/202411,7567411,3851,593N/A
6/30/202411,5627981,2761,487N/A
3/31/202411,369765756961N/A
12/31/202311,1326369361,138N/A
9/30/202310,8015288521,053N/A
6/30/202310,5753451,1731,370N/A
3/31/202310,3532411,1641,358N/A
12/31/202210,193277411597N/A
9/30/202210,115333385575N/A
6/30/202210,205476-265-75N/A
3/31/202210,238611510699N/A
12/31/202110,188598594782N/A
9/30/202110,025589796967N/A
6/30/20219,7645211,4191,579N/A
3/31/20219,5744949071,047N/A
12/31/20209,5985001,2211,342N/A
9/30/20209,7375091,0261,147N/A
6/30/20209,739366881980N/A
3/31/20209,9233469451,043N/A
12/31/20199,406284N/A1,413N/A
9/30/20199,667261N/A1,370N/A
6/30/20199,559369N/A1,210N/A
3/31/20198,854292N/A979N/A
12/31/20188,001237N/A657N/A
9/30/20187,417529N/A619N/A
6/30/20186,733424N/A703N/A
3/31/20186,502482N/A431N/A
12/31/20176,415520N/A530N/A
9/30/20176,491238N/A543N/A
6/30/20176,739440N/A432N/A
3/31/20176,936489N/A479N/A
12/31/20167,502565N/A109N/A
9/30/20168,281600N/A-343N/A
6/30/20168,981448N/A-238N/A
3/31/20169,828312N/A86N/A
12/31/201510,309142N/A230N/A
9/30/201510,400126N/A409N/A
6/30/201510,569273N/A301N/A

Prévisions de croissance des analystes

Taux de revenus par rapport au taux d'épargne: La croissance des bénéfices prévue de AIZ ( 6.3% par an) est supérieure au taux d'épargne ( 3.5% ).

Bénéfices vs marché: Les bénéfices de AIZ ( 6.3% par an) devraient croître plus lentement que le marché US ( 16.9% par an).

Croissance élevée des bénéfices: Les bénéfices de AIZ devraient augmenter, mais pas de manière significative.

Chiffre d'affaires vs marché: Le chiffre d'affaires de AIZ ( 5% par an) devrait croître plus lentement que le marché de US ( 11.9% par an).

Croissance élevée des revenus: Le chiffre d'affaires de AIZ ( 5% par an) devrait croître plus lentement que 20% par an.


Prévisions de croissance du bénéfice par action


Rendement futur des capitaux propres

ROE futur: Le retour sur capitaux propres de AIZ devrait être faible dans 3 ans ( 16.2 %).


Découvrir les entreprises en croissance

Analyse de l'entreprise et données financières

DonnéesDernière mise à jour (heure UTC)
Analyse de l'entreprise2026/05/27 18:25
Cours de l'action en fin de journée2026/05/27 00:00
Les revenus2026/03/31
Revenus annuels2025/12/31

Sources de données

Les données utilisées dans notre analyse de l'entreprise proviennent de S&P Global Market Intelligence LLC. Les données suivantes sont utilisées dans notre modèle d'analyse pour générer ce rapport. Les données sont normalisées, ce qui peut entraîner un délai avant que la source ne soit disponible.

PaquetDonnéesCadre temporelExemple de source américaine *
Finances de l'entreprise10 ans
  • Compte de résultat
  • Tableau des flux de trésorerie
  • Bilan
Estimations consensuelles des analystes+3 ans
  • Prévisions financières
  • Objectifs de prix des analystes
Prix du marché30 ans
  • Cours des actions
  • Dividendes, scissions et actions
Propriété10 ans
  • Actionnaires principaux
  • Délits d'initiés
Gestion10 ans
  • L'équipe dirigeante
  • Conseil d'administration
Principaux développements10 ans
  • Annonces de l'entreprise

* Exemple pour les titres américains ; pour les titres non américains, des formulaires réglementaires et des sources équivalentes sont utilisés.

Sauf indication contraire, toutes les données financières sont basées sur une période annuelle mais mises à jour trimestriellement. C'est ce qu'on appelle les données des douze derniers mois (TTM) ou des douze derniers mois (LTM). En savoir plus.

Modèle d'analyse et flocon de neige

Les détails du modèle d’analyse utilisé pour générer ce rapport sont disponibles sur notre page Github; nous proposons également des guides expliquant comment utiliser nos rapports et des tutoriels sur Youtube.

Découvrez l'équipe de classe mondiale qui a conçu et construit le modèle d'analyse Simply Wall St.

Indicateurs de l'industrie et du secteur

Nos indicateurs de secteur et de section sont calculés toutes les 6 heures par Simply Wall St. Les détails de notre processus sont disponibles sur Github.

Sources des analystes

Assurant, Inc. est couverte par 25 analystes. 5 de ces analystes ont soumis les estimations de revenus ou de bénéfices utilisées comme données d'entrée dans notre rapport. Les soumissions des analystes sont mises à jour tout au long de la journée.

AnalysteInstitution
Charles LedererBMO Capital Markets Equity Research
Michael ZaremskiBMO Capital Markets Equity Research
null nullBMO Capital Markets Equity Research