SCOR SE

ENXTPA:SCR Aktierapport

Börsvärde: €5.6b

SCOR Framtida tillväxt

Future kriterier kontrolleras 0/6

SCOR s intäkter förväntas minska med 2.2% per år medan dess årliga intäkter förväntas växa med 2.8% per år. EPS förväntas falla med 1.8% per år. Avkastningen på eget kapital förväntas bli 14.6% om 3 år.

Viktig information

-2.2%

Tillväxttakt i vinsten

-1.77%

Tillväxttakt för EPS

Insurance vinsttillväxt6.1%
Intäkternas tillväxttakt2.8%
Framtida avkastning på eget kapital14.62%
Bevakning av analytiker

Good

Senast uppdaterad27 Apr 2026

Senaste uppdateringarna om framtida tillväxt

Recent updates

SCR: Higher Street Expectations And Dividend Plans Will Shape Future Balance

SCOR's updated analyst price target edges higher to about €33, supported by recent Street research that has moved targets into a €34 to €38 range as analysts refine assumptions around discount rate, profit margin and future P/E. Analyst Commentary Recent Street research on SCOR has centered on higher price targets, with several bullish analysts revisiting their assumptions on discount rates, profitability and acceptable P/E levels for the stock.

SCR: Mixed Rating Shifts And New CFO Appointment Will Shape Future Balance

The analyst price target for SCOR has been revised slightly higher, with the fair value estimate moving from approximately €32.74 to about €33.01. This adjustment is supported by a series of recent target increases from banks such as Berenberg, Morgan Stanley and Citi, along with an upgrade at BNP Paribas.

SCR: Mixed Rating Shifts And New CFO Appointment Will Shape Balanced Outlook

SCOR's updated analyst price target edges higher to €32.74 from €31.98, with analysts citing refreshed models that reflect revised growth and margin assumptions, a modestly higher future P/E multiple, and a series of recent target increases from major banks. Analyst Commentary Recent research updates point to a mixed but generally constructive stance on SCOR, with several price target revisions clustered in the low to mid €30s and one higher target in the high €30s.

SCR: Mixed Rating Shifts And New CFO Appointment Shape Balanced Outlook

Analysts have lifted their implied price target on SCOR from about €31.74 to roughly €32, pointing to a slightly higher fair value as they factor in updated growth assumptions and recent target hikes from several banks alongside one downgrade. Analyst Commentary Recent research updates on SCOR reflect a mixed but generally constructive tone, with several firms lifting price targets while one high profile bank has turned more cautious.

SCR: Balanced Outlook As Execution And New CFO Transition Guide Rerating Potential

Analysts have nudged their price target on SCOR higher to €32. The modest change reflects a mix of recent target increases, such as Berenberg's €1.50 uplift, and offsetting caution from other firms, all incorporated into updated valuation assumptions.

SCR: Execution On Earnings And New CFO Appointment Will Shape Rerating Potential

Analysts have trimmed their price target on SCOR from €32.00 to about €31.74, reflecting slightly lower fair value and profit margin assumptions alongside modestly reduced future P/E expectations. Analyst Commentary Bullish Takeaways Bullish analysts highlight the recent upgrade to Outperform as a sign that current valuation is seen as reasonable relative to their €32 price target.

SCR: Reinsurance Execution And Earnings Quality Will Support Future Rerating

Analysts have inched their average price target for SCOR up to about €32, with small adjustments to discount rate, revenue growth, profit margin and future P/E, reflecting a more finely balanced view after recent rating changes and price target updates across the Street. Analyst Commentary Recent Street research on SCOR has sent mixed signals, with changes in ratings and modest adjustments to price targets clustering around the low €30s.

SCR: Reinsurance Pricing And Margin Discipline Will Support Future Rerating

Narrative Update: Analyst Price Targets for SCOR Analysts now see SCOR's price target clustered in the low to mid €30s, with recent updates ranging from about €31.76 to €35 as they adjust their views using broadly consistent assumptions for fair value, discount rate, revenue growth, profit margin and future P/E. Analyst Commentary Recent target changes for SCOR cluster between about €31.76 and €35.

SCR: Rising Reinsurance Pricing And Margin Discipline Will Support Future Upside

The analyst price target for SCOR has edged higher to EUR 31.76 from EUR 31.98, as analysts factor in a slightly lower discount rate, marginally improved profit margin expectations, and supportive upward target revisions from major brokerage houses. Analyst Commentary Recent Street research reflects a generally constructive stance on SCOR, with multiple upward revisions to price targets alongside one modest downgrade.

SCR: Rising Reinsurance Pricing And Margin Discipline Will Drive Future Performance

Analysts have nudged their average price target on SCOR slightly lower to about EUR 31.76 from roughly EUR 31.98. This reflects modestly higher discount rate assumptions even as they remain broadly constructive on the shares.

SCR: Recent Margin Gains And Improved Outlook Will Drive Future Performance

SCOR's analyst price target has increased modestly from €31.24 to €31.98. Analysts cite slight improvements in profit margin expectations and a supportive outlook from recent Street research as key factors behind the revision.

SCR: Improved Margins And Upward Revisions Will Drive Future Share Outperformance

The analyst consensus price target for SCOR fell slightly from €31.998 to €31.244, as analysts cited modestly lower revenue growth projections. This was balanced against improved profit margins and valuation multiples.

Analyst Commentary Highlights Rising Confidence in SCOR Amid Upward Revisions and Improved Valuation Metrics

SCOR's analyst price target has increased from €31.36 to €31.99. This change reflects recent analyst confidence in improved profit margins and revenue growth forecasts.

Investors Holding Back On SCOR SE (EPA:SCR)

Oct 15
Investors Holding Back On SCOR SE (EPA:SCR)

Elevated Climate Risk And Diversification Will Unlock Reinsurance Value

Analysts have modestly increased their price target for SCOR from $30.81 to $31.36. They cite improved profit margin expectations and a lower discount rate as key factors supporting the upward revision.
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Forward 2026 And Decisive P&C Initiatives Poised To Restore Profitability And Boost Earnings

Successful strategic plan and assumption reviews could restore profitability and stabilize future returns through improved business strategies.

Prognoser för vinst- och omsättningstillväxt

ENXTPA:SCR - Analytikernas framtida uppskattningar och tidigare finansiella data (EUR Millions )
DatumIntäkterIntäkterFritt kassaflödeKassaflöde från rörelsenGenomsnittligt Antal analytiker
12/31/202819,1947882,1651,6513
12/31/202718,5787812,1161,2933
12/31/202617,9327472,0691,6233
12/31/202515,6898511,1301,169N/A
9/30/202516,1598751,1571,202N/A
6/30/202516,1535411,1231,163N/A
3/31/202516,3408874902N/A
12/31/202416,4604875903N/A
9/30/202415,616-671,2911,294N/A
6/30/202416,7451981,5071,529N/A
3/31/202416,3536971,3311,350N/A
12/31/202316,2428121,4471,480N/A
9/30/202320,0651,3761,2911,338N/A
6/30/202315,869-6061,0481,105N/A
3/31/202319,56345831897N/A
12/31/202215,984-1,383430500N/A
9/30/202216,791-910371442N/A
6/30/202217,180-1991,4341,507N/A
3/31/202217,8103311,7011,776N/A
1/1/202217,6754562,3192,406N/A
9/30/202116,3734382,2392,345N/A
6/30/202116,8905881,0611,176N/A
3/31/202116,8341171,1271,256N/A
12/31/202016,973234853988N/A
9/30/202016,938156796929N/A
6/30/202016,9521621,0111,151N/A
3/31/202016,818453833970N/A
12/31/201916,546422711841N/A
9/30/201916,157381N/A653N/A
6/30/201916,114346N/A671N/A
3/31/201915,762287N/A885N/A
12/31/201815,639322N/A891N/A
9/30/201815,404603N/A1,284N/A
6/30/201815,340256N/A1,069N/A
3/31/201815,339312N/A1,245N/A
12/31/201715,334286N/A1,144N/A
9/30/201715,126190N/A721N/A
6/30/201715,036620N/A1,232N/A
3/31/201714,715573N/A1,059N/A
12/31/201614,369603N/A1,354N/A
9/30/201614,251588N/A1,541N/A
6/30/201614,191590N/A1,115N/A
3/31/201614,089637N/A1,050N/A
12/31/201513,930642N/A795N/A
9/30/201513,296627N/A982N/A
6/30/201512,874583N/A1,022N/A

Analytiker Framtid Tillväxt Prognoser

Intäkter kontra sparande: SCR s intäkter förväntas minska under de kommande 3 åren ( -2.2% per år).

Resultat vs marknad: SCR s intäkter förväntas minska under de kommande 3 åren ( -2.2% per år).

Höga tillväxtresultat: SCR s intäkter förväntas minska under de kommande 3 åren.

Intäkt vs marknad: SCR s intäkter ( 2.8% per år) förväntas växa långsammare än marknaden för French ( 5.6% per år).

Hög tillväxtintäkter: SCR s intäkter ( 2.8% per år) förväntas växa långsammare än 20% per år.


Tillväxtprognoser för vinst per aktie


Framtida avkastning på eget kapital

Framtida ROE: SCR s avkastning på eget kapital förväntas bli låg om 3 år ( 14.6 %).


Upptäck tillväxtföretag

Företagsanalys och finansiella data Status

UppgifterSenast uppdaterad (UTC-tid)
Analys av företag2026/04/29 11:02
Aktiekurs vid dagens slut2026/04/29 00:00
Intäkter2025/12/31
Årlig intjäning2025/12/31

Datakällor

Den data som används i vår företagsanalys kommer från S&P Global Market Intelligence LLC. Följande data används i vår analysmodell för att generera denna rapport. Data är normaliserade vilket kan medföra en fördröjning från det att källan är tillgänglig.

PaketUppgifterTidsramExempel US-källa
Företagets finansiella ställning10 år
  • Resultaträkning
  • Kassaflödesanalys
  • Balansräkning
Analytikernas konsensusuppskattningar+3 år
  • Prognos för finansiella poster
  • Analytikernas prismål
Marknadspriser30 år
  • Aktiekurser
  • Utdelningar, splittar och åtgärder
Ägarskap10 år
  • Största aktieägare
  • Insiderhandel
Förvaltning10 år
  • Ledningsgrupp
  • Styrelse och verkställande direktörer
Viktiga utvecklingstendenser10 år
  • Företagsmeddelanden

* Exempel för amerikanska värdepapper, för icke-amerikanska värdepapper används motsvarande regelverk och källor.

Om inget annat anges är all finansiell data baserad på en årsperiod men uppdateras kvartalsvis. Detta kallas data för efterföljande tolv månader (TTM) eller senaste tolv månader (LTM). Lär dig mer om detta.

Analysmodell och snöflinga

Detaljer om analysmodellen som användes för att skapa den här rapporten finns på vår Github-sida, vi har också guider om hur du använder våra rapporter och tutorials på Youtube.

Lär dig mer om det team i världsklass som utformade och byggde analysmodellen Simply Wall St.

Industri- och sektormått

Våra bransch- och sektionsmått beräknas var sjätte timme av Simply Wall St, detaljer om vår process finns tillgängliga på Github.

Källor för analytiker

SCOR SE bevakas av 30 analytiker. 9 av dessa analytiker lämnade de uppskattningar av intäkter eller resultat som användes som indata till vår rapport. Analytikernas inskickade estimat uppdateras löpande under dagen.

AnalytikerInstitution
Daniel BischofBaader Helvea Equity Research
Ivan BokhmatBarclays
Michael HuttnerBerenberg