Allianz SE

XTRA:ALV Stock Report

Market Cap: €145.7b

Allianz Valuation

Is ALV undervalued compared to its fair value, analyst forecasts and its price relative to the market?

Valuation Score

4/6

Valuation Score 4/6

  • Below Future Cash Flow Value

  • Significantly Below Future Cash Flow Value

  • Price-To-Earnings vs Peers

  • Price-To-Earnings vs Industry

  • Price-To-Earnings vs Fair Ratio

  • Analyst Forecast

Share Price vs Future Cash Flow Value

What is the Fair Price of ALV when looking at its future cash flows? For this estimate we use a Discounted Cash Flow model.

Ultimate guide to DCF valuation for stock investing

Learn how to determine fair value like the best investors in the world.

Below Future Cash Flow Value: ALV (€386.4) is trading below our estimate of future cash flow value (€927.81)

Significantly Below Future Cash Flow Value: ALV is trading below future cash flow value by more than 20%.


Key Valuation Metric

Which metric is best to use when looking at relative valuation for ALV?

Key metric: As ALV is profitable we use its Price-To-Earnings Ratio for relative valuation analysis.

The above table shows the Price to Earnings ratio for ALV. This is calculated by dividing ALV's market cap by their current earnings.
What is ALV's PE Ratio?
PE Ratio12.3x
Earnings€11.87b
Market Cap€145.73b

Price to Earnings Ratio vs Peers

How does ALV's PE Ratio compare to its peers?

The above table shows the PE ratio for ALV vs its peers. Here we also display the market cap and forecasted growth for additional consideration.
CompanyForward PEEstimated GrowthMarket Cap
Peer Average14.8x
TLX Talanx
9.9x-0.43%€26.1b
MUV2 Münchener Rückversicherungs-Gesellschaft in München
8.7x2.11%€58.3b
NBG6 NÜRNBERGER Beteiligungs-AG
31.1x20.91%€1.4b
HNR1 Hannover Rück
9.6x-1.71%€27.5b
ALV Allianz
12.3x2.86%€145.7b

Price-To-Earnings vs Peers: ALV is good value based on its Price-To-Earnings Ratio (12.3x) compared to the peer average (14.8x).


Historical Price to Earnings Ratio

Historical Price to Earnings Ratio compares a stock's price to its earnings over time. Higher ratios indicate that investors are willing to pay more for the stock.

Fetching historical data


Price to Earnings Ratio vs Industry

How does ALV's PE Ratio compare vs other companies in the European Insurance Industry?

1 CompanyPrice / EarningsEstimated GrowthMarket Cap
ALV 12.3xIndustry Avg. 13.0xNo. of Companies12PE0816243240+
1 CompanyEstimated GrowthMarket Cap
No more companies

Price-To-Earnings vs Industry: ALV is good value based on its Price-To-Earnings Ratio (12.3x) compared to the European Insurance industry average (13x).


Price to Earnings Ratio vs Fair Ratio

What is ALV's PE Ratio compared to its Fair PE Ratio? This is the expected PE Ratio taking into account the company's forecast earnings growth, profit margins and other risk factors.

ALV PE Ratio vs Fair Ratio.
Fair Ratio
Current PE Ratio12.3x
Fair PE Ratio12x

Price-To-Earnings vs Fair Ratio: ALV is expensive based on its Price-To-Earnings Ratio (12.3x) compared to the estimated Fair Price-To-Earnings Ratio (12x).


Analyst Price Targets

What is the analyst 12-month forecast and do we have any statistical confidence in the consensus price target?

The above table shows the analyst ALV forecast and predictions for the stock price in 12 month’s time.
DateShare PriceAverage 1Y Price TargetDispersionHighLow1Y Actual priceAnalysts
Current€386.40
€403.90
+4.53%
9.64%€504.00€325.00n/a18
Jun ’27€374.90
€403.90
+7.73%
9.64%€504.00€325.00n/a18
May ’27€389.00
€400.08
+2.85%
9.70%€504.00€325.00n/a18
Apr ’27€367.70
€396.75
+7.90%
9.31%€504.00€325.00n/a18
Mar ’27€382.20
€391.08
+2.32%
8.07%€459.00€325.00n/a18
Feb ’27€371.80
€386.72
+4.01%
7.14%€431.00€325.00n/a17
Jan ’27€390.50
€376.92
-3.48%
8.27%€431.00€320.00n/a16
Dec ’26€369.70
€371.92
+0.60%
7.85%€431.00€320.00n/a16
Nov ’26€348.20
€364.36
+4.64%
8.33%€431.00€320.00n/a16
Oct ’26€363.30
€363.11
-0.053%
8.45%€431.00€311.00n/a16
Sep ’26€359.90
€362.23
+0.65%
8.59%€431.00€311.00n/a16
Aug ’26€334.10
€358.48
+7.30%
8.76%€431.00€310.00n/a16
Jul ’26€342.80
€358.36
+4.54%
8.35%€419.00€311.00n/a16
Jun ’26€348.70
€355.51
+1.95%
8.11%€407.00€311.00€374.9017
May ’26€364.10
€349.88
-3.91%
8.22%€407.00€311.00€389.0016
Apr ’26€357.00
€341.38
-4.38%
9.01%€407.00€295.00€367.7016
Mar ’26€330.30
€326.49
-1.15%
7.13%€376.00€295.00€382.2015
Feb ’26€314.40
€325.03
+3.38%
6.74%€376.00€295.00€371.8016
Jan ’26€295.90
€322.97
+9.15%
7.36%€376.00€271.00€390.5016
Dec ’25€292.20
€314.07
+7.48%
8.79%€376.00€268.00€369.7016
Nov ’25€291.60
€308.76
+5.88%
9.69%€376.00€265.00€348.2016
Oct ’25€293.50
€296.53
+1.03%
7.75%€349.00€255.00€363.3015
Sep ’25€280.90
€293.00
+4.31%
6.31%€317.00€255.00€359.9014
Aug ’25€253.90
€291.00
+14.61%
7.02%€315.00€239.00€334.1014
Jul ’25€262.50
€291.20
+10.93%
6.68%€310.00€239.00€342.8015
Jun ’25€268.30
€284.79
+6.14%
8.08%€310.00€239.00€348.7015
€403.9
Fair Value
4.3% undervalued intrinsic discount
18
Number of Analysts

Analyst Forecast: Target price is less than 20% higher than the current share price.


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Company Analysis and Financial Data Status

DataLast Updated (UTC time)
Company Analysis2026/06/14 10:09
End of Day Share Price 2026/06/12 00:00
Earnings2026/03/31
Annual Earnings2025/12/31

Data Sources

The data used in our company analysis is from S&P Global Market Intelligence LLC. The following data is used in our analysis model to generate this report. Data is normalised which can introduce a delay from the source being available.

PackageDataTimeframeExample US Source *
Company Financials10 years
  • Income statement
  • Cash flow statement
  • Balance sheet
Analyst Consensus Estimates+3 years
  • Forecast financials
  • Analyst price targets
Market Prices30 years
  • Stock prices
  • Dividends, Splits and Actions
Ownership10 years
  • Top shareholders
  • Insider trading
Management10 years
  • Leadership team
  • Board of directors
Key Developments10 years
  • Company announcements

* Example for US securities, for non-US equivalent regulatory forms and sources are used.

Unless specified all financial data is based on a yearly period but updated quarterly. This is known as Trailing Twelve Month (TTM) or Last Twelve Month (LTM) Data. Learn more.

Analysis Model and Snowflake

Details of the analysis model used to generate this report is available on our Github page, we also have guides on how to use our reports and tutorials on Youtube.

Learn about the world class team who designed and built the Simply Wall St analysis model.

Industry and Sector Metrics

Our industry and section metrics are calculated every 6 hours by Simply Wall St, details of our process are available on Github.

Analyst Sources

Allianz SE is covered by 37 analysts. 10 of those analysts submitted the estimates of revenue or earnings used as inputs to our report. Analysts submissions are updated throughout the day.

AnalystInstitution
Knut WollerBaader Helvea Equity Research
Maria del Paz Ojeda FernandezBanco de Sabadell. S.A.
null nullBanco de Sabadell. S.A.