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Arch Capital Group Ltd.NasdaqGS:ACGL 株式レポート

時価総額 US$33.5b
株価
US$96.30
US$109.84
12.3% 割安 内在価値ディスカウント
1Y4.6%
7D0.4%
1D
ポートフォリオ価値
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Arch Capital Group Ltd.

NasdaqGS:ACGL 株式レポート

時価総額:US$33.5b

Arch Capital Group(ACGL)株式概要

アーチ・キャピタル・グループはその子会社とともに、米国、カナダ、バミューダ、英国、欧州、オーストラリアで保険、再保険、モーゲージ保険商品を提供している。 詳細

ACGL ファンダメンタル分析
スノーフレーク・スコア
評価5/6
将来の成長0/6
過去の実績5/6
財務の健全性5/6
配当金0/6

ACGL Community Fair Values

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Arch Capital Group Ltd. 競合他社

価格と性能

株価の高値、安値、推移の概要Arch Capital Group
過去の株価
現在の株価US$96.30
52週高値US$103.39
52週安値US$82.45
ベータ0.33
1ヶ月の変化0.11%
3ヶ月変化-2.90%
1年変化4.59%
3年間の変化35.63%
5年間の変化141.41%
IPOからの変化3,978.59%

最新ニュース

Seeking Alpha Apr 29

Arch Capital: Shrewd Capital Allocation And Underwriting Deliver In Q1

Summary Arch Capital Group maintains a disciplined underwriting approach, prioritizing margin preservation over growth amid pressured pricing environments. Q1 results reflect solid underwriting profitability, with an 81.7% combined ratio and $200 million in favorable reserve developments, underscoring conservative risk management. ACGL is aggressively repurchasing shares, with $783 million in Q3 buybacks and a projected $1.5–$2 billion for the year, enhancing EPS accretion. I reiterate a "Buy" rating on ACGL, targeting $9.35–$9.55 EPS and a potential re-rating to 12x earnings, or approximately $110 per share. Read the full article on Seeking Alpha
ナラティブの更新 Apr 09

ACGL: Share Repurchases And Strong Margins Will Drive Future Returns

Narrative Update on Arch Capital Group The updated analyst fair value estimate for Arch Capital Group has increased by about $3 to $109.84. Analysts attribute this change to slightly higher expected profitability, a modestly higher discount rate, and a lower future P/E following recent price target increases across several research firms.

Recent updates

Seeking Alpha Apr 29

Arch Capital: Shrewd Capital Allocation And Underwriting Deliver In Q1

Summary Arch Capital Group maintains a disciplined underwriting approach, prioritizing margin preservation over growth amid pressured pricing environments. Q1 results reflect solid underwriting profitability, with an 81.7% combined ratio and $200 million in favorable reserve developments, underscoring conservative risk management. ACGL is aggressively repurchasing shares, with $783 million in Q3 buybacks and a projected $1.5–$2 billion for the year, enhancing EPS accretion. I reiterate a "Buy" rating on ACGL, targeting $9.35–$9.55 EPS and a potential re-rating to 12x earnings, or approximately $110 per share. Read the full article on Seeking Alpha
ナラティブの更新 Apr 09

ACGL: Share Repurchases And Strong Margins Will Drive Future Returns

Narrative Update on Arch Capital Group The updated analyst fair value estimate for Arch Capital Group has increased by about $3 to $109.84. Analysts attribute this change to slightly higher expected profitability, a modestly higher discount rate, and a lower future P/E following recent price target increases across several research firms.
ナラティブの更新 Dec 17

ACGL: Strong Underwriting Margins And Investment Income Will Drive Future Returns

Analysts have modestly lifted their price expectations for Arch Capital Group, with the average target moving higher by about $2 to $3 per share, as they balance expectations for slowing top line growth with resilient underwriting margins and stronger net investment income. Analyst Commentary Street research continues to lean positive on Arch Capital, with multiple firms nudging price targets higher while acknowledging that the underwriting cycle is entering a more challenging phase.
ナラティブの更新 Dec 03

ACGL: Strong Underwriting Margins And Investment Income Will Support Future Performance

The analyst price target for Arch Capital Group has edged higher by approximately $0.09 per share to about $107.56, as analysts cite resilient underwriting margins, growing investment income, and a relatively benign catastrophe backdrop, which partly offsets expectations for slower top line growth and a softening P&C cycle. Analyst Commentary Bullish analysts highlight Arch Capital as a relative winner in a moderating property and casualty cycle, pointing to its durable underwriting discipline and growing investment income as key supports for earnings quality.
ナラティブの更新 Nov 05

ACGL: Calm Hurricane Season Will Support Earnings Resilience Ahead

Analysts have slightly adjusted their price target for Arch Capital Group upward, citing stable industry conditions and a resilient earnings outlook. The consensus fair value estimate has moved from $108.31 to $107.47.
Seeking Alpha Apr 11

Arch Capital Group: Solid Insurer At A Bargain Price

Summary Arch Capital Group is a large-cap, diversified insurance firm that has consistently grown book value and subsequent market price over the past decade. The management team at ACGL is highly experienced, now led by its long-term chief underwriter. Factors currently suppressing ACGL's market price are likely temporary headwinds. Compared against its peer group and its own historical price and performance, ACGL is significantly undervalued. Read the full article on Seeking Alpha
Seeking Alpha Mar 13

Arch Capital: Attractive Even With Elevated Cat Losses In 2025

Summary Arch Capital's stock has been volatile, impacted by California wildfire losses, but core business performance remains strong with solid premium growth expected in 2025. The company faces headwinds from tax law changes and potential catastrophe losses, but reinsurance rate hikes and higher investment income offer upside. Arch's diverse portfolio, conservative investment strategy, and strategic capital deployment position it well for long-term profitability, despite near-term challenges. With nearly 20% upside potential and limited exposure to tariffs or recession, Arch Capital remains an attractive buy in an uncertain market. Read the full article on Seeking Alpha
Seeking Alpha Jan 10

Arch Capital Group: Recent Price Weakness Is A Buying Opportunity

Summary Arch Capital Group Ltd.'s recent share price weakness presents a buying opportunity due to its strong fundamentals and impressive growth history in the insurance industry. The company excels in P&C insurance and reinsurance, with a well-diversified business and a conservative risk management approach, leading to robust profitability. Arch's recent acquisition of Allianz’s U.S. commercial middle market and entertainment business enhances its diversification and scale, despite some integration risks. ACGL stock's valuation at 1.6x book value is attractive, given its high ROE and solid fundamentals, suggesting a potential upside of around 25%. Read the full article on Seeking Alpha
Seeking Alpha Nov 03

Arch Capital: Hurricane Fears And M&A Concerns Are Likely Overdone

Summary Arch delivered solid Q3 results but concerns about its Allianz unit acquisition have weighed on shares. Q3 earnings were reduced by cat losses, with more losses likely in Q4, but given its diverse exposures, Arch remains profitable even during hurricanes. Recent management change has added to uncertainty, but its emphasis on strong underwriting remains in place. At less than 11x earnings, shares are attractive and can recover towards $108. Read the full article on Seeking Alpha
Seeking Alpha Oct 16

Arch Capital: Navigating Insurance Cycles With Strong Pricing Power

Summary The U.S. property and casualty market is projected to grow at a 6.4% CAGR from 2024 to 2030, favoring Arch's diversified portfolio. In Q2 2024, ACGL's mortgage insurance segment maintained high credit quality, with 69.5% of new loans having FICO scores above 740. A 50-basis-point drop in interest rates could increase the Company's fixed-income portfolio by approximately $378 million. Arch Capital's forward P/E ratio is expected to decline to 11.78 by 2026, signaling an earnings growth potential. Read the full article on Seeking Alpha
Seeking Alpha Jul 31

Arch Capital: Another Quarter Of Excellent Underwriting Creates Further Upside Potential

Summary Arch Capital Group shares have risen 26% over the past year but pulled back recently due to declining interest rates. Q2 results exceeded expectations, with strong underwriting results and solid segment performance, as the company continues to benefit from high home prices. Investment income is likely to rise over the next year as low-yielding securities mature. With favorable tailwinds, a diversifying business, and strong underwriting, Arch continues to be attractive. Read the full article on Seeking Alpha
Seeking Alpha Jul 22

Arch Capital: New Trend At Play

Summary An economic/market outlook not factoring in the potential impacts of the U.S. budget deficit is not credible in my opinion. Macroeconomic factors are underpinning higher interest rates, which is fueling a new long-term price channel for Property & Casualty insurers. Arch Capital takes a diversified, growth-oriented approach. Its management team has proven itself over a long tenure of strong underwriting results. My price target on Arch is $118 looking out 12 to 16 months, which is a 23% upside. Using a more bullish target multiple of 12.5 presents a 45% upside. Read the full article on Seeking Alpha
Seeking Alpha May 22

Arch Capital: Multiple Positives Could Drive The Stock Higher

Summary Arch Capital Group has a strong management team with effective strategies to drive growth. Arch Capital Group's business is diversified through many different lines of insurance. Strong book value growth is likely to drive strong stock performance in 2024. Read the full article on Seeking Alpha
Seeking Alpha May 01

Arch Capital: Solid Underwriting Drives A Strong Q1

Summary Arch Capital reported solid Q1 results, with adjusted EPS beating expectations and net premiums written rising by 19.3%. The company's insurance unit saw growth in written premiums but a decrease in underwriting income due to the Baltimore bridge collapse. Arch's reinsurance unit experienced strong growth in premiums and underwriting income, with a decrease in the combined ratio, aided by higher prices. Its Allianz unit acquisition should help further diversify the business and reduce hurricane risk. Read the full article on Seeking Alpha
Seeking Alpha Feb 08

Arch Capital: Record High P/B Is Too Rich

Summary Arch Capital is a multinational insurer with strong operating results and a bold rally in its stock price in 2023. The company's business model focuses on specialty insurance, with a diversified set of income streams that protect against cyclicality and high claims. ACGL has a strong balance sheet and a history of positive earnings growth, but the current stock price is overvalued, making it a sell. Read the full article on Seeking Alpha

株主還元

ACGLUS InsuranceUS 市場
7D0.4%-0.3%1.1%
1Y4.6%-6.7%28.7%

業界別リターン: ACGL過去 1 年間で-6.7 % の収益を上げたUS Insurance業界を上回りました。

リターン対市場: ACGLは、過去 1 年間で28.7 % のリターンを上げたUS市場を下回りました。

価格変動

Is ACGL's price volatile compared to industry and market?
ACGL volatility
ACGL Average Weekly Movement2.7%
Insurance Industry Average Movement4.4%
Market Average Movement7.2%
10% most volatile stocks in US Market16.4%
10% least volatile stocks in US Market3.1%

安定した株価: ACGL 、 US市場と比較して、過去 3 か月間で大きな価格変動はありませんでした。

時間の経過による変動: ACGLの 週次ボラティリティ ( 3% ) は過去 1 年間安定しています。

会社概要

設立従業員CEO(最高経営責任者ウェブサイト
19958,000Nicolas Alain Papadopoulowww.archgroup.com

アーチ・キャピタル・グループは、その子会社とともに、米国、カナダ、バミューダ、英国、欧州、オーストラリアで保険、再保険、モーゲージ保険商品を提供している。同社は3つのセグメントで事業展開している:保険、再保険、住宅ローン。保険事業では、商業用自動車保険、商業用マルチペリル保険、金融・専門家向け賠償責任保険、損害保険、エクセス・スペシャリティ保険、労働者災害補償保険、損害保険などを提供している。再保険部門は損害保険、海上・航空保険、異常災害保険、異常災害保険を除く損害保険、その他特殊商品の再保険商品を提供している。モーゲージ部門は、主に連邦住宅抵当公庫(FNAM)や連邦住宅貸付抵当公庫(FHM)に販売されるローンを対象とした米国の元受モーゲージ保険、米国の信用リスク移転事業やその他の米国モーゲージ再保険取引に関連する再保険および引受サービス、およびローンを対象とした海外のモーゲージ保険および再保険事業を提供している。同社は認可を受けた独立したリテールおよびホールセール・ブローカーのグループを通じて商品を販売している。以前はリスク・キャピタル・ホールディングス(Risk Capital Holdings, Inc.アーチ・キャピタル・グループは 1995 年に設立され、バミューダのペンブロークに本社を置く。

Arch Capital Group Ltd. 基礎のまとめ

Arch Capital Group の収益と売上を時価総額と比較するとどうか。
ACGL 基礎統計学
時価総額US$33.51b
収益(TTM)US$4.83b
売上高(TTM)US$19.78b
6.9x
PER(株価収益率
1.7x
P/Sレシオ

収益と収入

最新の決算報告書(TTM)に基づく主な収益性統計
ACGL 損益計算書(TTM)
収益US$19.78b
売上原価US$11.99b
売上総利益US$7.79b
その他の費用US$2.95b
収益US$4.83b

直近の収益報告

Mar 31, 2026

次回決算日

該当なし

一株当たり利益(EPS)13.89
グロス・マージン39.37%
純利益率24.43%
有利子負債/自己資本比率11.3%

ACGL の長期的なパフォーマンスは?

過去の実績と比較を見る

企業分析と財務データの現状

データ最終更新日(UTC時間)
企業分析2026/05/25 02:07
終値2026/05/22 00:00
収益2026/03/31
年間収益2025/12/31

データソース

企業分析に使用したデータはS&P Global Market Intelligence LLC のものです。本レポートを作成するための分析モデルでは、以下のデータを使用しています。データは正規化されているため、ソースが利用可能になるまでに時間がかかる場合があります。

パッケージデータタイムフレーム米国ソース例
会社財務10年
  • 損益計算書
  • キャッシュ・フロー計算書
  • 貸借対照表
アナリストのコンセンサス予想+プラス3年
  • 予想財務
  • アナリストの目標株価
市場価格30年
  • 株価
  • 配当、分割、措置
所有権10年
  • トップ株主
  • インサイダー取引
マネジメント10年
  • リーダーシップ・チーム
  • 取締役会
主な進展10年
  • 会社からのお知らせ

* 米国証券を対象とした例であり、非米国証券については、同等の規制書式および情報源を使用

特に断りのない限り、すべての財務データは1年ごとの期間に基づいていますが、四半期ごとに更新されます。これは、TTM(Trailing Twelve Month)またはLTM(Last Twelve Month)データとして知られています。詳細はこちら

分析モデルとスノーフレーク

本レポートを生成するために使用した分析モデルの詳細は当社のGithubページでご覧いただけます。また、レポートの使用方法に関するガイドYoutubeのチュートリアルも掲載しています。

シンプリー・ウォールストリート分析モデルを設計・構築した世界トップクラスのチームについてご紹介します。

業界およびセクターの指標

私たちの業界とセクションの指標は、Simply Wall Stによって6時間ごとに計算されます。

アナリスト筋

Arch Capital Group Ltd. 13 これらのアナリストのうち、弊社レポートのインプットとして使用した売上高または利益の予想を提出したのは、 。アナリストの投稿は一日中更新されます。31

アナリスト機関
Taylor ScottBarclays
Jay GelbBarclays
Michael ZaremskiBMO Capital Markets Equity Research