Exor (EXO.AS) Stock Price
Exor Price
Revenue has compounded at 5.6% per year over the past 19 years to 15.40 B EUR. Earnings per share have grown at 15.6% per year over the last 19 years. Exor's net margin stands at 95.3%, up from -0.1% several years earlier. Exor currently offers a dividend yield of about 0.65%. The payout ratio is around 1% of earnings. Analysts set a median price target of 117.30 EUR, implying 66.3% above the current price. Of 13 analysts, 12 rate the stock a buy — an overall Buy consensus. The stock trades about 12% above its 52-week low.
Exor stock price
Exor business model & stock analysis
Frequently asked questions about Exor
The business model of Exor NV, a prominent global investment company, operates on the principle of long-term value creation. Exor NV focuses on investing in diversified industries, including but not limited to insurance, automotive, and media sectors. By strategically allocating capital and actively managing its portfolio, Exor NV aims to generate sustainable and profitable returns for its shareholders. With its significant presence and expertise in various industries, Exor NV leverages its resources and network to identify and support innovative ventures that align with its long-term growth objectives. This approach allows Exor NV to drive value creation and contribute to the success of its portfolio companies.
Exor NV is primarily active in various industries, including but not limited to automotive, finance, and hospitality. As a diversified global holding company, Exor NV holds significant investments in several leading companies such as Fiat Chrysler Automobiles, Ferrari, CNH Industrial, PartnerRe, and the iconic luxury hotels group Mandarin Oriental. With a strong focus on long-term value creation, Exor NV strategically operates across different sectors, aiming to maximize returns for its shareholders.
The main competitors of Exor NV in the market include Berkshire Hathaway, Volkswagen AG, and Toyota Motor Corporation.
Exor NV is an Italian investment company with a rich history and reputation in the business world. Established in 1927, Exor NV was initially known as Istituto Finanziario Italiano (IFI). Over the years, the company has evolved and diversified its portfolio, becoming a prominent global player in various sectors. Exor NV is primarily focused on long-term investments and holds a controlling stake in renowned companies like Fiat Chrysler Automobiles (FCA), CNH Industrial, and The Economist Group. With a strong commitment to value creation and responsible investing, Exor NV continues to play a significant role in shaping the global business landscape.
Exor NV, a renowned investment holding company, has achieved numerous significant milestones. Notably, Exor NV acquired PartnerRe, a leading global reinsurance company, in 2016, strengthening its presence in the insurance industry. The company also completed the merger between Fiat Chrysler Automobiles (FCA) and Groupe PSA in 2021, forming Stellantis, one of the world's largest automotive groups. Exor NV has continuously expanded its portfolio with strategic investments, including investments in luxury brands such as Ferrari and The Economist Group. This demonstrates the company's commitment to diversification and long-term growth. Exor NV's proactive approach and successful ventures have established it as a key player in various sectors worldwide.
Exor NV is primarily present in Europe, with a strong presence in Italy, where the company is headquartered. It also has significant operations and investments in North America and Asia. Additionally, Exor NV maintains a global reach through its diverse portfolio of companies and investments in various sectors such as automotive, energy, and insurance. The company's commitment to expanding its international presence positions it as a key player in the global business landscape.
Exor NV represents a set of core values and a corporate philosophy that guide its operations. The company values include integrity, transparency, and a long-term perspective. Exor NV believes in responsible and sustainable business practices, focusing on creating value for all stakeholders. The company strives for excellence in financial performance and commitment to its shareholders. With a diversified portfolio and a strong focus on strategic investments, Exor NV aims to deliver sustainable growth and profitability. Its corporate philosophy emphasizes innovation, entrepreneurial spirit, and continuous improvement. Exor NV remains dedicated to fostering strong partnerships and maintaining a global presence in the industries it operates in.
Analysts currently set an average price target of 117.43 EUR for the Exor stock (median: 117.30 EUR), implying +66.4 % versus the latest price. The consensus is based on 13 analyst ratings.
13 analysts currently rate the Exor stock: 12 recommend buying, 1 holding and 0 selling. For 2026, analysts expect Exor to generate revenue of 1.01 M EUR and earnings per share of 1.95 EUR.
The Exor share (EXO.AS) is listed on 11 stock exchanges, including: London (0RKY.L), XETRA (EYX.DE), Frankfurt (EYX.F), München (EYX.MU), Düsseldorf (EYX.DU), Wien (EXO.VI), Amsterdam (EXO.AS), Mailand (EXO.MI).
Exor NV is a publicly traded company based in Turin, Italy. Exor was founded in 1927 and is owned by the Agnelli family. It is one of the largest private investors worldwide. The business model of Exor is based on investments in companies and start-ups, as well as a diversified portfolio of industries including automotive, energy, and tourism. Exor serves as a holding company and is divided into three main sectors: Mining and Energy, Insurance and Reinsurance, and Automotive. In the mining and energy sector, Exor holds stakes in Fiat Chrysler Automobiles (FCA), Ferrari, CNH Industrial, Trilogy Metals, Usiminas, Iveco, and Firmenich. In the insurance and reinsurance sector, Exor owns a majority stake in PartnerRe and also has a stake in Covéa. In the automotive sector, Exor has a majority stake in FCA and also holds a stake in Ferrari, as well as being involved in automotive component manufacturing. In summary, Exor's business model is focused on investments across various industries, holding majority stakes in FCA and Ferrari in the automotive sector, stakes in PartnerRe and Covéa in the insurance sector, and investments in mining and energy. Exor follows a long-term strategy, investing in companies with future growth potential.
The expected revenue of Exor is 1.01 M EUR. This figure is based on current financial data and reflects the company's business performance.
The expected profit of Exor is 426.81 M EUR. The net profit reflects the company's profitability after deducting all expenses.
The price-to-earnings ratio (P/E) of Exor is currently 36.19. The P/E ratio compares the current share price to the earnings per share and helps investors assess the valuation of the Exor stock.
The price-to-sales ratio (P/S) of Exor is currently 15,294.47. The P/S ratio compares the market capitalization to the annual revenue and serves as a valuation metric for the Exor stock.
The Eulerpool Quality Score for Exor is 3/10.
The ISIN of Exor is NL0012059018. The ISIN (International Securities Identification Number) is a globally unique identifier for securities.
The WKN of Exor is A2DHZ4. The WKN (Wertpapierkennnummer) is a six-digit German security identification number.
The ticker of Exor is EXO.AS. The ticker symbol is used to trade Exor shares on the stock exchange.
Over the past 12 months, Exor paid a dividend of 0.46 EUR . This corresponds to a dividend yield of about 0.65 %. For the coming 12 months, Exor is expected to pay a dividend of 0.55 EUR.
The current dividend yield of Exor is 0.65 %.
Exor pays a dividend, distributed in the months of June, May.
Exor paid dividends every year for the past 3 years.
For the upcoming 12 months, dividends amounting to 0.55 EUR are expected. This corresponds to a dividend yield of 0.77 %.
Exor is assigned to the 'Finance' sector.
In the year 2024, Exor distributed 0.46 EUR as dividends.
The dividends of Exor are distributed in EUR.
Exor stock
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All fundamentals and in-depth analysis of Exor
Our stock analysis for Exor 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 Exor. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.