ARCH CAPITAL GROUP LTD

NASDAQ: ACGL (Arch Capital Group Ltd.)

Last update: 4 days ago, 10:46PM

100.95

-1.03 (-1.01%)

Previous Close 101.98
Open 101.49
Volume 1,654,408
Avg. Volume (3M) 2,165,593
Market Cap 37,676,584,960
Price / Earnings (TTM) 9.46
Price / Earnings (Forward) 10.44
Price / Sales 1.93
Price / Book 1.53
52 Weeks Range
82.45 (-18%) — 103.39 (2%)
Earnings Date 9 Feb 2026
Profit Margin 20.72%
Operating Margin (TTM) 16.05%
Diluted EPS (TTM) 9.75
Quarterly Revenue Growth (YOY) 18.60%
Quarterly Earnings Growth (YOY) -48.80%
Total Debt/Equity (MRQ) 12.66%
Current Ratio (MRQ) 0.580
Operating Cash Flow (TTM) 6.57 B
Levered Free Cash Flow (TTM) 7.81 B
Return on Assets (TTM) 3.80%
Return on Equity (TTM) 18.42%

Market Trend

Short Term Medium Term
Industry Insurance - Diversified (US) Bearish Bullish
Insurance - Diversified (Global) Bearish Bullish
Stock Arch Capital Group Ltd. Bearish Bearish

AIStockmoo Score

-0.4
Analyst Consensus -0.5
Insider Activity NA
Price Volatility -3.0
Technical Moving Averages 0.0
Technical Oscillators 2.0
Average -0.38

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
ACGL 38 B - 9.46 1.53
ACGLN - 6.50% 3.73 -
ACGLO 12 B 6.54% 4.44 -
IGIC 1 B 4.11% 8.77 1.56

Arch Capital Group Ltd is a Bermuda company that writes insurance and reinsurance with operations in the United States, Canada, Europe, Australia, and the United Kingdom. The business operates through three underwriting segments: insurance, reinsurance, and mortgage. The insurance segment provides specialty risk solutions to clients across various industries. The reinsurance segment provides reinsurance services which cover property catastrophe, property, liability, marine, aviation and space, trade credit and surety, agriculture, accident, life and health, and political risk. The mortgage business provides risk management and risk financing products to the mortgage insurance sectors through platforms in the U.S., Europe and Bermuda.

Sector Financial Services
Industry Insurance - Diversified
Investment Style Mid Value
% Held by Insiders 3.09%
% Held by Institutions 91.54%
52 Weeks Range
82.45 (-18%) — 103.39 (2%)
Price Target Range
93.00 (-7%) — 117.00 (15%)
High 117.00 (JP Morgan, 15.90%) Hold
Median 104.00 (3.02%)
Low 93.00 (Goldman Sachs, -7.88%) Sell
Average 104.09 (3.11%)
Total 4 Buy, 6 Hold, 1 Sell
Avg. Price @ Call 94.81
Firm Date Target Price Call Price @ Call
Wells Fargo 11 Feb 2026 109.00 (7.97%) Buy 100.95
Cantor Fitzgerald 14 Jan 2026 97.00 (-3.91%) Hold 91.29
Barclays 08 Jan 2026 104.00 (3.02%) Hold 96.38
Goldman Sachs 08 Jan 2026 93.00 (-7.88%) Sell 96.38
Evercore ISI Group 07 Jan 2026 100.00 (-0.94%) Hold 95.16
JP Morgan 07 Jan 2026 117.00 (15.90%) Hold 95.16
Keefe, Bruyette & Woods 06 Jan 2026 102.00 (1.04%) Hold 93.92
Mizuho 16 Dec 2025 95.00 (-5.89%) Hold 95.58
Roth Capital 02 Dec 2025 110.00 (8.96%) Buy 92.69
RBC Capital 25 Nov 2025 108.00 (6.98%) Buy 93.61
Morgan Stanley 17 Nov 2025 110.00 (8.96%) Buy 91.81
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No data within this time range.

Ex Date Announcement Date Payment Date Details
18 Nov 2024 07 Nov 2024 04 Dec 2024 5 Cash

Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2024 5.00 1 5.41

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

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