Scor (SCR.PA) Azione Prezzo
Scor Prezzo
Negli ultimi 19 anni Scor ha aumentato il fatturato del 9,1% all'anno, raggiungendo 16,25 miliardi EUR. L'utile per azione è cresciuto del 12,1% all'anno negli ultimi 19 anni. Per Scor, il margine netto del 5,2% risulta in aumento rispetto al 2,9% di alcuni anni fa. Al prezzo attuale il rendimento da dividendo è pari a circa il 5,67%. Il payout ratio è pari a circa il 38% degli utili. Il dividendo è cresciuto del 7,0% all'anno negli ultimi 19 anni. Il target di prezzo di consenso a 12 mesi per Scor è 32,52 EUR, circa il 2,4% sopra il prezzo attuale di mercato. Su 19 analisti, 13 valutano il titolo come acquisto — nel complesso un consenso Acquistare.
Scor Prezzo delle azioni
Scor Azione e analisi azionaria
Domande frequenti sull'azione Scor
Scor SE operates as a global reinsurer, offering a diversified range of insurance products and services. The company's business model revolves around providing risk assessment, underwriting expertise, and financial stability to its clients. Scor SE focuses on delivering reinsurance solutions that cover property, casualty, life, and health risks. Their business strategy involves maintaining a globally balanced portfolio, utilizing sophisticated risk management techniques, and fostering strong client relationships. With its solid reputation and extensive market knowledge, Scor SE is committed to serving as a reliable partner in the reinsurance industry, supporting clients in managing and transferring their risks effectively.
Scor SE is primarily active in the insurance and reinsurance industry. The company operates through various segments including Property and Casualty Reinsurance, Life Reinsurance, and Investments. With a strong global presence, Scor SE offers a wide range of insurance and reinsurance products and services to clients worldwide. As a leading player in the industry, Scor SE utilizes its expertise and financial strength to provide innovative solutions and risk management solutions to individuals and businesses.
The main competitors of Scor SE in the market include Munich Re, Swiss Re, and Hannover Re.
Scor SE is a global reinsurer founded in 1970. With a rich history spanning over 50 years, Scor SE has become a leading player in the insurance and reinsurance industry. The company's origins can be traced back to France, where it was established as a state-owned reinsurer. Over the years, Scor SE has grown and expanded its operations worldwide, catering to diverse market needs. Today, Scor SE boasts a strong presence in numerous countries and offers a wide range of reinsurance products and services. The company has earned a solid reputation for its expertise, financial strength, and commitment to delivering value to its clients.
Scor SE, a well-known insurance and reinsurance company, has reached several significant milestones throughout its history. The company successfully expanded its global presence by establishing branches in key markets worldwide, including Europe, the Americas, and Asia-Pacific. Moreover, Scor SE has consistently demonstrated its commitment to innovation, developing cutting-edge risk and capital management solutions. Additionally, the company has achieved remarkable financial results, showcasing its resilience and strong performance. Scor SE's dedication to excellence has been recognized through numerous awards and accolades within the insurance industry. These milestones highlight the company's continuous growth and solid position as a leading player in the global insurance market.
Scor SE is primarily present in various countries and regions worldwide. As a global reinsurance company based in France, Scor SE has a vast presence in key financial centers and insurance markets across the globe. Its operations span over 160 countries, including major markets such as Europe, North America, Asia-Pacific, and Africa. Scor SE's comprehensive international footprint allows it to leverage diverse opportunities and establish strong partnerships on a global scale.
Scor SE represents values of trust, innovation, and excellence in the insurance and reinsurance industry. The company is committed to providing top-quality risk solutions and financial services to its clients worldwide. With a strong corporate philosophy centered around customer satisfaction and long-term partnerships, Scor SE continuously strives to deliver tailored and sustainable solutions to meet the evolving needs of its clients. By leveraging its technical expertise, global presence, and strong financial position, Scor SE is dedicated to creating value for its stakeholders while maintaining a prudent and disciplined approach to risk management.
Gli analisti fissano attualmente un prezzo obiettivo medio di 31,91 EUR per l’azione Scor (mediana: 32,52 EUR), pari a +0,5 % rispetto all’ultimo prezzo. Il consenso si basa su 19 giudizi di analisti.
19 analisti valutano attualmente l’azione Scor: 13 raccomandano l’acquisto, 6 la tenuta e 0 la vendita. Per il 2026 gli analisti si aspettano per Scor ricavi pari a 15,42 miliardi EUR e un utile per azione di 4,19 EUR.
L’azione Scor (SCR.PA) è quotata su 9 borse, tra cui: London (0IT3.L), SIX (Zürich) (SCR.SW), XETRA (SDRC.DE), Frankfurt (SDRC.F), München (SDRC.MU), Düsseldorf (SDRC.DU), Paris (SCR.PA).
Scor SE is a leading reinsurer and provider of insurance solutions based in Paris, France. The company was founded in 1970 and has a presence in over 160 countries worldwide. Scor is divided into different sectors and offers a wide range of insurance products for businesses and individuals. Scor Global P&C is the division for property and casualty insurance. It provides reinsurance coverage for various risks such as natural disasters, terrorism, traffic accidents, and cyber attacks. Products also include liability and credit insurance, as well as specialty insurance for shareholders and directors & officers. Scor Global Life offers life and health insurance solutions worldwide. This includes risks such as death, disability, incapacity, and long-term care. With its global presence and experience, Scor is able to offer tailored products specific to countries or industries. Scor Global Investments is responsible for the company's asset management and capital investments. The portfolio includes various asset classes, including stocks, bonds, and real estate. Scor uses its knowledge and experience to make investments that have a positive impact on risk management and financial stability. Scor Global Hub is the backbone of the company, handling technical and administrative services. Scor deals with risk assessments, risk acceptance, underwriting, company valuation, and claims processing. The Scor Global Hub ensures that all products and solutions meet the highest standards and meet the needs of customers. Overall, the business model of Scor SE is based on a deep understanding of the insurance industry and risk management. The wide range of insurance products is designed to meet the specific needs of customers in various industries and countries. Scor relies on its global presence and the ability to recognize trends in the economy, technology, and society to offer its customers tailored solutions. The company is committed to constantly improving its risk management and financial stability practices and making meaningful investments. Scor is also a pioneer in sustainability and recognizes the importance of supporting customers in addressing environmental and social challenges. With these strategies and its extensive portfolio, Scor SE has achieved a strong position in the global insurance market.
Il attesa fatturato di Scor ammonta a 15,42 miliardi EUR. Questo dato si basa sui dati finanziari attuali e riflette lo sviluppo commerciale dell'azienda.
Il attesa profitto di Scor ammonta a 745,64 Mio. EUR. L'utile netto riflette la redditività dell'azienda dopo la deduzione di tutti i costi.
Il rapporto prezzo/utili (P/E) di Scor è attualmente 7,57. Il rapporto P/E confronta il prezzo attuale dell'azione con l'utile per azione e aiuta gli investitori a valutare la valutazione dell'azione Scor.
Il rapporto prezzo/fatturato (P/S) di Scor è attualmente 0,37. Il rapporto P/S confronta la capitalizzazione di mercato con il fatturato annuo e funge da indicatore di valutazione dell'azione Scor.
Il Quality Score AlleAktien per Scor è 3/10.
L'ISIN di Scor è FR0010411983. L'ISIN (International Securities Identification Number) è un codice identificativo univoco a livello mondiale per i titoli.
Il WKN di Scor è A0LGQX. Il WKN (Wertpapierkennnummer) è un codice identificativo tedesco a sei cifre per i titoli.
Il ticker di Scor è SCR.PA. Con questo simbolo di borsa vengono negoziate le azioni Scor in borsa.
Azione Scor
Gruppo di pari di Scor
Scor Ticker
Scor FIGI
Altre metriche e analisi di Scor in Deep Dive.
La nostra analisi azionaria dell'azione Scor include importanti indicatori finanziari come il fatturato, l'utile, il P/E, il P/S, l'EBIT, oltre a informazioni sul dividendo. Inoltre, esaminiamo aspetti come le azioni, la capitalizzazione di mercato, il debito, il patrimonio netto e le passività di Scor. Se state cercando informazioni più dettagliate su questi temi, sulle nostre sottopagine offriamo analisi approfondite: