F&G Annuities & Life, Inc.

NYSE:FG Stok Raporu

Piyasa değeri: US$3.7b

F&G Annuities & Life Gelecekteki Büyüme

Future kriter kontrolleri 0/6

F&G Annuities & Life şirketinin gelirinin yıllık 17.2% oranında düşmesi, yıllık kazançlarının ise yıllık 3.3% oranında artması bekleniyor. EPS'nin yıllık 3.7% oranında büyümesi bekleniyor.

Anahtar bilgiler

3.3%

Kazanç büyüme oranı

3.72%

EPS büyüme oranı

Insurance kazanç büyümesi2.2%
Gelir büyüme oranı-17.2%
Gelecekteki özkaynak getirisin/a
Analist kapsamı

Low

Son güncelleme21 May 2026

Gelecekteki son büyüme güncellemeleri

Recent updates

Analiz Makalesi Jun 21

F&G Annuities & Life (FG) Stock Looks Fully Priced After CEO Transition വാർത്ത

F&G Annuities & Life (FG) is undergoing a leadership transition, with CEO Chris Blunt set to retire, President and CFO Conor Murphy stepping up as CEO and President, and Michael Bailey appointed as incoming CFO. See our latest analysis for F&G Annuities & Life. The leadership reshuffle comes as F&G Annuities & Life’s share price has shown mixed momentum, with a 1 day share price return of 2.61% and a 90 day share price return of 16.58%. However, the year to date share price return is down...
Anlatı Güncellemesi Jun 03

FG: Index Additions And Buybacks Will Support Balanced Return Potential

Analysts maintained their $27.00 price target on F&G Annuities & Life, citing updated assumptions that include a slightly higher discount rate, modestly weaker revenue growth and profit margin expectations, and a higher future P/E multiple. What's in the News F&G Annuities & Life, Inc.
Seeking Alpha May 28

F&G Annuities & Life Remains Dramatically Undervalued

Summary F&G Annuities & Life remains deeply undervalued, trading well below book value despite manageable private credit and alternative investment risks. FG’s investment portfolio is conservatively structured, with 97% investment-grade fixed income and limited software sector exposure, supporting downside protection. Strategic alternatives for the Peak unit and a shift toward fee-based earnings could unlock additional value and diversify revenue streams. I maintain a "Strong Buy" rating with a $35 price target, supported by robust sales, disciplined capital return, and fading market fears. Read the full article on Seeking Alpha
Anlatı Güncellemesi May 12

FG: Weaker Revenue Outlook And Buybacks Will Shape Balanced Return Potential

Analysts have lowered their price target for F&G Annuities & Life from $37.43 to $27.00, citing updated assumptions that now combine a higher discount rate and sharply weaker revenue outlook with a stronger profit margin and a lower future P/E multiple. What's in the News The Board of Directors authorized a new share buyback plan on March 16, 2026, indicating an updated capital return framework for shareholders (Key Developments).
Analiz Makalesi May 10

F&G Annuities & Life, Inc.'s (NYSE:FG) Business And Shares Still Trailing The Market

With a price-to-earnings (or "P/E") ratio of 8.4x F&G Annuities & Life, Inc. ( NYSE:FG ) may be sending very bullish...
Seeking Alpha Mar 22

F&G Annuities & Life: Questionable Share Issuance Leads To An Overreaction (Rating Upgrade)

Summary Shares of F&G Annuities & Life dropped 15% after a surprising secondary equity issuance, raising concerns about the timing and structure of the deal. The issuance priced shares at $33.60, below book value, creating a high hurdle for return on equity and potential dilution of long-term value. Despite strong organic growth and capital needs, the decision to issue equity at a low price is a questionable capital allocation decision. With a revised fair value of $41-42, I upgrade FG to a "buy" for long-term investors, though management needs to regain trust. Read the full article on Seeking Alpha
Seeking Alpha Nov 08

F&G Annuities & Life: Another Solid Quarter, But Valuation Has Caught Up (Rating Downgrade)

Summary F&G Annuities & Life has seen a strong performance, gaining 47% over the past year, driven by favorable interest rates and high annuity demand. Q3 earnings beat estimates with $1.22 per share, up from $0.96 last year, supported by balance sheet growth and improving investment spreads. F&G maintains a conservative product mix while instead taking more risk on its investment portfolio, primarily in less-liquid asset classes. Given the recent stock performance and limited upside potential, I am moving F&G shares to a hold, with a fair value of $47/share. Read the full article on Seeking Alpha
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Yeni Anlatı Aug 29

Strategic Moves And Market Adaptations Set To Boost Margins And Diversify Earnings

Strategic investments and growth in own distribution channels are set to significantly boost sales and diversify earnings.
Seeking Alpha Aug 06

F&G Annuities & Life: Solid Q2 Should Calm Investment Portfolio Fears

Summary F&G Annuities & Life stock has risen 34% over the past year but is down nearly 20% since its recent high amid concerns about its investment portfolio. The company's earnings beat consensus by $0.02, with record gross sales and net sales up 30% from last year as consumers take advantage of the rate environment. FG stock maintains a more aggressive investment portfolio, but realized credit losses are likely to stay low, making shares attractive. Read the full article on Seeking Alpha
Analiz Makalesi Jul 23

Market Participants Recognise F&G Annuities & Life, Inc.'s (NYSE:FG) Earnings

With a price-to-earnings (or "P/E") ratio of 22.4x F&G Annuities & Life, Inc. ( NYSE:FG ) may be sending bearish...
Analiz Makalesi May 30

F&G Annuities & Life (NYSE:FG) Has Affirmed Its Dividend Of $0.21

F&G Annuities & Life, Inc.'s ( NYSE:FG ) investors are due to receive a payment of $0.21 per share on 28th of June...
Seeking Alpha May 11

F&G Annuities & Life: Solid Q1 Despite Mixed Alternative Returns

Summary F&G Annuities & Life has seen a significant rise in its stock price over the past year, driven by higher rates and strong investment returns. The company reported solid quarterly results, but alternative investment returns were weaker, leading to modest profit taking by investors. F&G has benefited from increased demand for annuities in the elevated interest rate environment, with gross sales rising by 6%. With its aggressive investment portfolio, F&G earns a strong investment spread, but credit losses could rise in a recession. Read the full article on Seeking Alpha
Seeking Alpha Feb 26

F&G Annuities & Life: Q4 Is Unlikely To Change The Company's Trajectory

Summary F&G Annuities & Life's stock dropped 10% after Q4 results, but it was already slightly overvalued. F&G is an independent fixed annuity provider in the US, but may not remain independent for long after June 1, 2025. In acquisition, F&G's price should be close to its BVPS ex-AOCI. Shareholders are expected to harvest annual returns close to or slightly higher than the company's ROE of 10%. Slightly elevated Q4 surrenders are unlikely to become a major issue. Read the full article on Seeking Alpha

Kazanç ve Gelir Büyüme Tahminleri

NYSE:FG - Analistlerin gelecek tahminleri ve geçmiş finansal verileri (USD Millions )
TarihGelirKazançlarSerbest Nakit AkışıFaaliyetlerden NakitAvg. Analist Sayısı
12/31/20283,604614N/AN/A1
12/31/20273,382564N/AN/A1
12/31/20263,113653N/AN/A1
3/31/20266,0105174,4564,468N/A
12/31/20255,7312484,6664,681N/A
9/30/20255,5594474,8164,833N/A
6/30/20255,3093235,9655,986N/A
3/31/20255,0834865,3995,421N/A
12/31/20245,7446225,9755,999N/A
9/30/20245,834N/A6,8766,901N/A
6/30/20245,2413165,5815,606N/A
3/31/20245,2372485,9035,931N/A
12/31/20234,500-585,8075,834N/A
9/30/20233,535654,8694,895N/A
6/30/20233,593-545,2345,260N/A
3/31/20232,5022014,1584,185N/A
12/31/20222,3836353,1393,171N/A
9/30/20223,4299322,7132,754N/A
6/30/20223,4461,1212,0862,127N/A
3/31/20224,0399162,0202,058N/A
12/31/20213,9701,2321,8381,871N/A
3/31/20212,393479561564N/A
12/31/20201,430-473563N/A
3/31/20201,178-33301314N/A
12/31/20191,894330N/A652N/A
9/30/20191,339103N/A1,087N/A
6/30/20191,32894N/A1,133N/A
3/31/20191,17389N/A1,028N/A
12/31/2018711-16N/A897N/A
9/30/20182,146-1,031N/A1,260N/A
6/30/20181,703-1,079N/A1,083N/A
3/31/20181,743-1,080N/A985N/A
12/31/20171,980-1,116N/A1,020N/A
9/30/201775755N/A23N/A
6/30/201775654N/A23N/A
3/31/201737622N/A-1N/A
12/31/201610N/A-1N/A

Analist Gelecek Büyüme Tahminleri

Kazançlar ve Tasarruf Oranları: FG 'nin tahmini kazanç büyümesi (yıllık 3.3% ) tasarruf oranının ( 3.5% ) altındadır.

Kazançlar ve Piyasa: FG şirketinin kazançlarının (yıllık 3.3% ) US pazarından (yıllık 18.5% ) daha yavaş büyümesi öngörülüyor.

Yüksek Büyüme Kazançları: FG şirketinin kazançlarının artması bekleniyor, ancak önemli ölçüde.

Gelir ve Pazar: FG şirketinin gelirinin önümüzdeki 3 yıl içinde düşmesi bekleniyor (yılda -17.2% ).

Yüksek Büyüme Geliri: FG şirketinin gelirinin önümüzdeki 3 yıl içinde düşmesi öngörülüyor (yılda -17.2% ).


Hisse Başına Kazanç Büyüme Tahminleri


Gelecekteki Özkaynak Getirisi

Gelecekteki ROE: FG 'un Özsermaye Getirisi'nin 3 yıl içinde yüksek olmasının öngörülüp öngörülmediğini belirlemek için yeterli veri yok


Büyüyen şirketleri keşfedin

Şirket Analizi ve Finansal Veri Durumu

VeriSon Güncelleme (UTC saati)
Şirket Analizi2026/06/24 16:09
Gün Sonu Hisse Fiyatı2026/06/24 00:00
Kazançlar2026/03/31
Yıllık Kazançlar2025/12/31

Veri Kaynakları

Şirket analizimizde kullanılan veriler S&P Global Market Intelligence LLC'den alınmıştır. Bu raporu oluşturmak için analiz modelimizde aşağıdaki veriler kullanılmıştır. Veriler normalize edilmiştir, bu da kaynağın mevcut olmasından kaynaklanan bir gecikmeye neden olabilir.

PaketVeriZaman ÇerçevesiÖrnek ABD Kaynağı *
Şirket Finansalları10 yıl
  • Gelir tablosu
  • Nakit akış tablosu
  • Bilanço
Analist Konsensüs Tahminleri+3 yıl
  • Finansal tahminler
  • Analist fiyat hedefleri
Piyasa Fiyatları30 yıl
  • Hisse senedi fiyatları
  • Temettüler, Bölünmeler ve Eylemler
Sahiplik10 yıl
  • En büyük hissedarlar
  • İçeriden öğrenenlerin ticareti
Yönetim10 yıl
  • Liderlik ekibi
  • Yönetim Kurulu
Önemli Gelişmeler10 yıl
  • Şirket duyuruları

* ABD menkul kıymetleri için örnek, ABD dışı için eşdeğer düzenleyici formlar ve kaynaklar kullanılmıştır.

Belirtilmediği sürece tüm finansal veriler yıllık bir döneme dayanmaktadır ancak üç ayda bir güncellenmektedir. Bu, İzleyen On İki Ay (TTM) veya Son On İki Ay (LTM) Verileri olarak bilinir. Daha fazla bilgi edinin.

Analiz Modeli ve Kar Tanesi

Bu raporu oluşturmak için kullanılan analiz modelinin ayrıntıları GitHub sayfamızda mevcuttur; ayrıca raporlarımızı nasıl kullanacağınıza dair kılavuzlarımız ve YouTube'da eğitim videolarımız da bulunmaktadır.

Simply Wall St analiz modelini tasarlayan ve oluşturan dünya standartlarındaki ekip hakkında bilgi edinin.

Endüstri ve Sektör Metrikleri

Sektör ve bölüm metriklerimiz Simply Wall St tarafından her 6 saatte bir hesaplanmaktadır, sürecimizin ayrıntıları Github'da mevcuttur.

Analist Kaynakları

F&G Annuities & Life, Inc. 7 Bu analistlerden 1, raporumuzun girdisi olarak kullanılan gelir veya kazanç tahminlerini sunmuştur. Analistlerin gönderimleri gün boyunca güncellenmektedir.

AnalistKurum
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Taylor ScottBarclays
Taylor ScottGoldman Sachs