AXIS Capital Holdings - Stock

AXIS Capital Holdings P/S 2024

AXIS Capital Holdings P/S

1.11

Ticker

AXS

ISIN

BMG0692U1099

WKN

482025

As of Jul 10, 2024, AXIS Capital Holdings's P/S ratio stood at 1.11, a 40.51% change from the 0.79 P/S ratio recorded in the previous year.

The AXIS Capital Holdings P/S history

AXIS Capital Holdings Aktienanalyse

What does AXIS Capital Holdings do?

AXIS Capital Holdings Ltd is an internationally active insurance and reinsurance company headquartered in Hamilton, Bermuda. The company was founded in 2001 and has successfully expanded its portfolio since then. AXIS has offices in North America, Europe, Asia, Australia, and Africa. Business model: AXIS Capital's business model is focused on two main areas. Firstly, the company primarily offers insurance and reinsurance solutions. On the other hand, the business sectors include underwriting specialized products and maintaining capital. Segments and products: One of AXIS Capital's segments is property insurance, serving both commercial and private customers. The product range is very diverse and includes coverage for damages to buildings, liability, and accidents. Another important area is specialty insurance. AXIS Capital offers its customers tailored policies that are typically designed for a specific risk or customer profile. This includes insurance against flood, earthquake, or cyber risks. The reinsurance sector is also a key focus for AXIS. The company provides its customers with reinsurance coverages that are used in transactions with other insurance companies. AXIS Capital is also active in marine insurance, insuring various types of vessels including container, freighter, and tug fleets. In the energy sector, the company offers solutions for renewable and traditional energy systems. Finally, AXIS has also specialized in the alternative capital markets. Here, the company offers individual and co-insurance as well as alternative reinsurance solutions. Company: AXIS Capital is headquartered in Bermuda but operates in many countries and uses banking personnel as a distribution channel. The United States is an important market for the company, but other countries are also significant, particularly the United Kingdom, Germany, Singapore, Japan, and Australia. Overall, the company has a strong market position in its key target markets. History: AXIS Capital Holdings Ltd was founded in 2001 by Marsh & McLennan Cos. as the third leading professional liability insurance company in New York, along with ACE Limited (now Chubb Limited) and XL Capital Ltd. (now XL Catlin). The circumstances of its founding did not go without special situations: at the time, the Marsh group was accused by insurers of evading competition regulations and was forced to sell one of its main divisions, which was transformed into the current AXIS Holding company. The company expanded its scope and offered extensive risk management and insurance services, including disaster prevention. In 2015, the company also acquired PartnerRe. Surprisingly, AXIS co-founder and CEO John Charman announced his departure in June 2011, after which Michael Butt temporarily served as CEO for six months. In January 2012, Albert Benchimol assumed the position of CEO. Conclusion: AXIS Capital Holdings Ltd is a leading provider of insurance and reinsurance solutions for customers in North America, Europe, Asia, Australia, and Africa. With its wide portfolio of property, specialty, reinsurance, and marine insurance, as well as its presence in the alternative capital market, the company has established itself in many fields of application. Due to its strong market position and extensive offerings, the company remains interesting for investors and customers. AXIS Capital Holdings ist eines der beliebtesten Unternehmen auf Eulerpool.com.

P/S Details

Decoding AXIS Capital Holdings's P/S Ratio

AXIS Capital Holdings's Price to Sales (P/S) Ratio is a crucial financial metric that measures the company's market valuation relative to its total sales revenue. It's calculated by dividing the company's market capitalization by its total sales over a specific period. A lower P/S ratio can indicate that the company is undervalued, while a higher ratio may suggest overvaluation.

Year-to-Year Comparison

Comparing AXIS Capital Holdings's P/S ratio yearly provides insights into how the market perceives the company’s value relative to its sales. An increasing ratio over time can indicate growing investor confidence, while a decreasing trend might reflect concerns about the company’s revenue generation capabilities or market conditions.

Impact on Investments

The P/S ratio is instrumental for investors evaluating AXIS Capital Holdings's stock. It offers insights into the company’s efficiency in generating sales and its market valuation. Investors use this ratio to compare similar companies within the same industry, aiding in selecting stocks that offer the best value for investment.

Interpreting P/S Ratio Fluctuations

Variations in AXIS Capital Holdings’s P/S ratio can result from changes in the stock price, sales revenue, or both. Understanding these fluctuations is crucial for investors to evaluate the company’s current valuation and future growth potential, aligning their investment strategies accordingly.

Frequently Asked Questions about AXIS Capital Holdings stock

What is the price-to-earnings ratio of AXIS Capital Holdings?

The price-earnings ratio of AXIS Capital Holdings is currently 1.11.

How has the price-earnings ratio of AXIS Capital Holdings changed compared to last year?

The price-to-earnings ratio of AXIS Capital Holdings has increased by 40.51% increased compared to last year.

What consequences does a high price-earnings ratio have for investors?

A high price-to-earnings ratio indicates that the company's stock is relatively expensive and investors may potentially achieve a lower return.

What does a low price-earnings ratio mean?

A low price-earnings ratio means that the company's stock is relatively cheap and investors may potentially achieve a higher return.

Is the price-earnings ratio of AXIS Capital Holdings high compared to other companies?

Yes, the price-to-earnings ratio of AXIS Capital Holdings is high compared to other companies.

How does an increase in the price-earnings ratio of AXIS Capital Holdings affect the company?

An increase in the price-earnings ratio of AXIS Capital Holdings would lead to a higher market capitalization of the company, which in turn would lead to a higher valuation of the company.

How does a reduction in the price-to-earnings ratio of AXIS Capital Holdings affect the company?

A decrease in the price-earnings ratio of AXIS Capital Holdings would result in a lower market capitalization of the company, which in turn would lead to a lower valuation of the company.

What are some factors that influence the price-earnings ratio of AXIS Capital Holdings?

Some factors that influence the price-earnings ratio of AXIS Capital Holdings are the company's growth, financial position, industry development, and the overall economic situation.

How much dividend does AXIS Capital Holdings pay?

Over the past 12 months, AXIS Capital Holdings paid a dividend of 1.76 USD . This corresponds to a dividend yield of about 2.53 %. For the coming 12 months, AXIS Capital Holdings is expected to pay a dividend of 1.79 USD.

What is the dividend yield of AXIS Capital Holdings?

The current dividend yield of AXIS Capital Holdings is 2.53 %.

When does AXIS Capital Holdings pay dividends?

AXIS Capital Holdings pays a quarterly dividend. This is distributed in the months of October, January, April, July.

How secure is the dividend of AXIS Capital Holdings?

AXIS Capital Holdings paid dividends every year for the past 23 years.

What is the dividend of AXIS Capital Holdings?

For the upcoming 12 months, dividends amounting to 1.79 USD are expected. This corresponds to a dividend yield of 2.58 %.

In which sector is AXIS Capital Holdings located?

AXIS Capital Holdings is assigned to the 'Finance' sector.

Wann musste ich die Aktien von AXIS Capital Holdings kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of AXIS Capital Holdings from 7/18/2024 amounting to 0.44 USD, you needed to have the stock in your portfolio before the ex-date on 6/28/2024.

When did AXIS Capital Holdings pay the last dividend?

The last dividend was paid out on 7/18/2024.

What was the dividend of AXIS Capital Holdings in the year 2023?

In the year 2023, AXIS Capital Holdings distributed 1.73 USD as dividends.

In which currency does AXIS Capital Holdings pay out the dividend?

The dividends of AXIS Capital Holdings are distributed in USD.

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Andere Kennzahlen von AXIS Capital Holdings

Our stock analysis for AXIS Capital Holdings Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of AXIS Capital Holdings Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.