Scor (SCR.PA) Stock Price

Scor Price

Euronext·CLOSED
33.24EUR-1.00 (-2.96 %)
Market closed

Over the last 19 years Scor grew revenue by 9.1% annually, reaching 16.25 B EUR. Earnings per share have grown at 12.1% per year over the last 19 years. For Scor, the net margin of 5.2% is up versus 2.9% a few years ago. At today's price the dividend yield works out to roughly 5.42%. The payout ratio is around 38% of earnings. The dividend has grown at 7.0% per year over the past 19 years. The consensus 12-month price target for Scor is 32.52 EUR, about 2.2% below where the stock trades today. Of 19 analysts, 13 rate the stock a buy — an overall Buy consensus. The stock trades about 30% above its 52-week low.

Scor stock price

Volume
Ex-Dividend
Details

Stock Price

How to Read This Chart

This chart tracks the historical stock price of Scor over time. You can switch between daily, weekly, and monthly views and select custom time ranges — from a single day to the full available history. Use the toggle to view price changes in absolute currency terms or as a percentage change relative to the starting date.

Total Return vs. Price Return

The "Total Return" toggle includes reinvested dividends on top of the pure price movement. This is critical because dividends can account for a significant portion of long-term returns. Historically, roughly 40 % of the S&P 500's total return has come from dividends. Always compare total return when evaluating a stock's real performance against a benchmark.

Intraday Price Data

When viewing a one-day time frame, the chart displays real-time intraday price movements. This is useful for observing how Scor stock reacts to market openings, earnings releases, or breaking news throughout the trading session.

What to Look For

Look for long-term trends (sustained upward or downward movements over months and years), support and resistance levels (price zones where the stock repeatedly bounces or reverses), and volatility (how much the price fluctuates day to day). Comparing Scor's price chart to a market index like the S&P 500 can reveal whether the stock is outperforming or underperforming the broader market.

Scor Stock Price History
DateScor Price
9/7/202633.24 EUR
9/4/202634.24 EUR
9/3/202634.44 EUR
9/2/202634.44 EUR
9/1/202634.30 EUR
8/31/202633.84 EUR
8/28/202633.80 EUR
8/27/202633.56 EUR
8/26/202633.82 EUR
8/25/202633.64 EUR
8/24/202633.38 EUR
8/21/202633.38 EUR
8/20/202632.98 EUR
8/19/202633.82 EUR
8/18/202633.98 EUR
8/17/202634.68 EUR
8/14/202634.58 EUR
8/13/202634.08 EUR
8/12/202634.20 EUR
8/11/202634.04 EUR
8/10/202634.50 EUR
8/7/202634.50 EUR
8/6/202634.30 EUR
8/5/202634.08 EUR
8/4/202634.20 EUR
7/31/202634.30 EUR
7/30/202634.54 EUR
7/29/202633.42 EUR
7/28/202634.10 EUR
7/27/202633.80 EUR
Access this data via the Eulerpool API

Scor Revenue, EBIT, Net Income

  • 3 Years

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Revenue
EBIT
Net Income
Details
Date
Revenue
EBIT
Net Income
Jan 1, 2023
15.84 B EUR
1.37 B EUR
812.00 M EUR
Jan 1, 2024
15.65 B EUR
297.00 M EUR
4.00 M EUR
Jan 1, 2025
16.25 B EUR
1.31 B EUR
851.00 M EUR
Jan 1, 2026 (e)
15.49 B EUR
988.00 M EUR
760.13 M EUR
Jan 1, 2027 (e)
15.88 B EUR
1.02 B EUR
802.67 M EUR
Jan 1, 2028 (e)
16.09 B EUR
1.04 B EUR
831.93 M EUR
Jan 1, 2029 (e)
16.42 B EUR
1.18 B EUR
944.18 M EUR
Jan 1, 2030 (e)
16.83 B EUR
1.29 B EUR
1.03 B EUR

Scor Income Statement, Balance Sheet, Cash Flow Statement

Last updated Sep 9, 2026, 11:27 AM
 
REVENUEB EUR
REVENUE GROWTH%
GROSS MARGIN%
GROSS INCOMEB EUR
EBITB EUR
EBIT MARGIN%
NET INCOMEB EUR
NET INCOME GROWTH%
DIV.EUR
DIV. GROWTH%
SHARESM
201520162017201820192020202120222023202420252026e2027e2028e2029e2030e
12.7413.2414.1314.3615.0115.4115.9916.4415.8415.6516.2515.4915.8816.0916.4216.83
19.713.926.681.664.502.683.722.83-3.66-1.183.84-4.682.521.322.072.50
78.8778.7178.9877.2377.1378.0275.7876.7095.7494.7819.6719.6719.6719.6719.6719.67
10.0510.4211.1611.0911.5812.0312.1112.6115.1614.833.203.053.123.173.233.31
0.871.150.650.810.920.710.91-1.561.370.301.311.001.031.061.181.29
6.828.714.595.636.144.585.70-9.478.651.908.076.446.506.567.167.63
0.640.600.290.320.420.230.46-1.380.810.850.760.800.830.941.03
25.39-6.07-52.5712.5931.06-44.5594.87-403.29-158.71-99.5121,175.00-10.585.523.6113.469.22
1.401.501.651.651.751.801.801.401.801.801.901.921.94
7.697.1410.006.06-22.2228.575.561.051.04
185.19185.39187.77150.00193.82192.76181.10179.08192.61179.23177.78177.78177.78177.78177.78177.78
Details

Income Statement Key Figures

Revenue and Revenue Growth

Revenue is the starting point of every income statement — it measures the total sales Scor generates from its core business. Revenue growth (expressed as year-over-year percentage change) is one of the most important indicators of business momentum. Sustained growth above 10 % annually is generally considered strong, while declining revenue is a serious warning sign that demands investigation.

Gross Margin

Gross margin = (Revenue − Cost of Goods Sold) ÷ Revenue. It reveals what percentage of each dollar of revenue Scor retains after direct production costs. High gross margins (above 50 %) are typical of asset-light businesses like software and brands, while capital-intensive industries like manufacturing often operate below 30 %. Compare Scor's gross margin to industry peers and track it over time to spot improving or deteriorating pricing power.

EBIT and EBIT Margin

EBIT measures operating profit — what remains after subtracting all operating expenses (including R&D, sales, and administrative costs) from gross profit. The EBIT margin shows this as a percentage of revenue. Because it excludes interest and taxes, EBIT allows fair comparisons between companies with different debt levels and tax jurisdictions. A rising EBIT margin indicates improving operational efficiency.

Net Income and Earnings Per Share (EPS)

Net income is the company's final profit after all expenses, interest, and taxes. Dividing net income by the number of shares outstanding gives you EPS — the single most influential metric in stock valuation. Consistent EPS growth is the primary driver of long-term stock price appreciation. Always check whether EPS growth comes from genuine profit improvement or from share buybacks reducing the share count.

Shares Outstanding

The total number of shares Scor has issued. A declining share count (through buybacks) boosts EPS and signals management confidence. A rising share count (through stock issuance) dilutes existing shareholders. Always monitor this number alongside EPS to get the full picture of per-share value creation.

Analyst Estimates

The projected figures represent consensus estimates from professional analysts. Compare these forecasts against Scor's historical growth rates to assess whether expectations are realistic. A company that consistently beats consensus estimates tends to see its stock price rewarded over time, while repeated misses erode investor confidence.

Scor stock margins

The Scor margin analysis displays the gross margin, EBIT margin, as well as the profit margin of Scor. The EBIT margin (EBIT/sales) indicates the percentage of sales that remains as operating profit. The profit margin shows the percentage of sales that remains for Scor.
  • 3 Years

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  • Max

Gross margin
EBIT margin
Profit margin
Details
Date
Gross margin
EBIT margin
Profit margin
Jan 1, 2021
75.78 %
5.70 %
2.85 %
Jan 1, 2022
76.70 %
-9.47 %
-8.41 %
Jan 1, 2023
95.74 %
8.65 %
5.13 %
Jan 1, 2024
94.78 %
1.90 %
0.03 %
Jan 1, 2025
19.67 %
8.07 %
5.24 %
Jan 1, 2026 (e)
19.67 %
6.38 %
4.91 %
Jan 1, 2027 (e)
19.67 %
6.42 %
5.05 %
Jan 1, 2028 (e)
19.67 %
6.43 %
5.17 %

Scor Stock Revenue, EBIT, Earnings per Share

The Scor earnings per share therefore indicates how much revenue Scor has generated per share in a given period. The earnings before interest and taxes per share shows how much of the operating profit corresponds to each share. The earnings per share indicates how much of the profit belongs to each share.
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  • Max

Revenue per Share
EBIT per share
Earnings per Share
Details
Date
Revenue per Share
EBIT per share
Earnings per Share
Jan 1, 2021
88.27 EUR
5.04 EUR
2.52 EUR
Jan 1, 2022
91.79 EUR
-8.69 EUR
-7.72 EUR
Jan 1, 2023
82.22 EUR
7.11 EUR
4.22 EUR
Jan 1, 2024
87.32 EUR
1.66 EUR
0.02 EUR
Jan 1, 2025
91.41 EUR
7.38 EUR
4.79 EUR
Jan 1, 2026 (e)
85.32 EUR
5.56 EUR
4.19 EUR
Jan 1, 2027 (e)
87.46 EUR
5.74 EUR
4.42 EUR
Jan 1, 2028 (e)
88.62 EUR
5.82 EUR
4.58 EUR

Scor business model & stock analysis

Scor SE is a global leader in reinsurance. The company was founded in France in 1970 and is currently headquartered in Paris. Scor is an acronym for "Société Commerciale de Réassurance," which means "Commercial Reinsurance Company" in French. Since its inception, the company has had a successful history in the field of reinsurance. Scor's business model is based on assuming risks that insurance companies cannot or only partially bear. The company acts as an intermediary between insurers and investors. Scor offers its clients a wide range of reinsurance products, including property, casualty, and health insurance, as well as life and pension insurance. The company is divided into two main divisions: Scor's Reinsurance Division and Scor's Large and Specialty Risks Division. Scor's Reinsurance Division provides reinsurance to global insurance companies. Scor's Large and Specialty Risks Division specializes in assuming large and complex risks and collaborates with multinational corporations. Scor also offers its clients a wide range of products, some of which are tailored to specific markets or industries. These products include agricultural insurance, transport insurance, aerospace insurance, and catastrophe insurance. The company also specializes in alternative risk transfer (ART), where risk is hedged by selling securities to investors. Scor operates in over 160 countries and employs over 3,000 people worldwide. The company has offices in North and South America, Europe, Asia, and Africa. Scor is listed on the Paris Stock Exchange and is part of the CAC 40 index, which consists of the 40 blue chip companies. In recent years, Scor has pursued a strategic growth initiative aimed at strengthening its international presence and expanding its range of reinsurance products. For example, in 2016, the company acquired the Australian reinsurer Generali Worldwide Insurance Company to enhance its position in the Australian insurance market. Scor has also expanded into the field of cyber insurance and now offers its clients protection against cyber attacks. Overall, Scor has made a significant impact in the reinsurance industry and is now a leading provider of reinsurance products and services globally. The company is well positioned to remain a key player in the global reinsurance industry and successfully tackle the challenges of the evolving insurance market.

Scor SWOT Analysis

Strengths

Scor SE has several strengths that give it a competitive advantage:

  • Strong brand reputation in the insurance and reinsurance industry
  • Diverse range of insurance products and solutions
  • Global presence and extensive network
  • Financial stability and strong capitalization
  • Advanced risk modeling and underwriting expertise

Weaknesses

Despite its strengths, Scor SE also faces certain weaknesses that need to be addressed:

  • Dependency on external reinsurers for certain risks
  • Relatively high cost structure compared to some competitors
  • Limited market share in certain regions
  • Lower brand recognition compared to some industry giants

Opportunities

Scor SE can capitalize on the following opportunities to further grow its business:

  • Increasing demand for insurance and reinsurance in emerging markets
  • Technological advancements creating new product and distribution opportunities
  • Expansion into new lines of business or diversification of existing offerings
  • Mergers and acquisitions to gain market share or access new markets

Threats

However, Scor SE also faces certain threats that may impact its performance:

  • Intense competition from other global insurance and reinsurance companies
  • Increase in catastrophic events leading to higher claims and losses
  • Regulatory changes and compliance requirements
  • Fluctuating interest rates and economic conditions affecting investment returns

Scor Eulerpool Fair Value

Details

Fair Value Estimate

What Is Fair Value?

Fair value is an estimate of what a stock is truly "worth" based on its financial fundamentals, independent of the current market price. If the calculated fair value is above the current share price, the stock may be undervalued — and vice versa. This chart shows three different fair value approaches so you can cross-check them against each other.

Earnings-Based Fair Value

Calculated by multiplying the current earnings per share (EPS) by the average historical P/E ratio over a selected multi-year period. The smoothing over several years filters out temporary spikes or dips. If this fair value exceeds the market price, it suggests the stock is cheap relative to its earning power.

Example: Fair Value (Earnings) 2022 = EPS 2022 × Average P/E 2019–2021

Revenue-Based Fair Value

Derived by multiplying revenue per share by the average historical price-to-sales ratio. This method is particularly useful for companies with volatile or temporarily depressed earnings, as revenue tends to be more stable than profits. It answers: "At what price has the market historically valued each dollar of this company's sales?"

Example: Fair Value (Revenue) 2022 = Revenue per Share 2022 × Average P/S 2019–2021

Dividend-Based Fair Value

Calculated by dividing the dividend per share by the average historical dividend yield. This approach is most relevant for mature, consistently dividend-paying companies. If the resulting fair value is higher than the current price, it implies the stock offers a better yield than its historical average.

Example: Fair Value (Dividend) 2022 = Dividend per Share 2022 ÷ Average Yield 2019–2021

How to Use This Chart

When all three fair value lines converge above the current price, it strengthens the case that the stock is undervalued. When they diverge, investigate why — it may indicate a structural shift in margins, payout policy, or growth rate. The forward estimates on the right extend the analysis using projected fundamentals, helping you assess whether the current price already reflects future growth expectations.

Scor historical P/E ratio, EBIT multiple, and P/S ratio

Scor annual returns

Details

Annual Return

What This Chart Shows

This chart breaks down 's total annual return into two components: price return (gains or losses from stock price movement) and dividend return (income received from dividend payments). Together, they represent the total return an investor would have earned in each calendar year.

Price Return

Price return measures the percentage change in 's stock price from January 1st to December 31st of each year. Positive bars indicate the stock appreciated; negative bars show a decline. This is the component most investors focus on, but it tells only part of the story — especially for dividend-paying stocks.

Dividend Return

Dividend return represents the income generated from dividends paid during the year, expressed as a percentage of the starting stock price. While it may seem small in any single year (typically 1–4 % for established companies), dividends compound significantly over decades and have historically contributed roughly 40 % of total stock market returns.

What to Look For

Examine how many years showed positive vs. negative returns to gauge consistency. A stock with mostly positive years and small drawdowns suggests lower risk. Also compare 's annual returns to a benchmark index — consistently outperforming the market is a hallmark of a strong investment. Pay attention to the worst years: understanding downside risk is just as important as chasing upside potential.

Scor shares outstanding

The number of shares of Scor was 177.78 M in 2025. This indicates how many shares Scor is divided into. Since shareholders are the owners of a company, each share represents a small portion of the company's ownership.
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  • Max

Number of stocks
Details
Date
Number of stocks
Jan 1, 2021
181.10 M Stocks
Jan 1, 2022
179.08 M Stocks
Jan 1, 2023
192.61 M Stocks
Jan 1, 2024
179.23 M Stocks
Jan 1, 2025
177.78 M Stocks
Jan 1, 2026 (e)
177.78 M Stocks
Jan 1, 2027 (e)
177.78 M Stocks
Jan 1, 2028 (e)
177.78 M Stocks

Scor stock splits

In Scor's history, there have been no stock splits.

Scor Dividend History

33 years of dividend payments

YearAnnual DividendYoY ChangePayments
20261.90EURYTD
May 4, 20261.90EUR 5.6%1/1
20251.80EUR 0.0%
May 2, 20251.80EUR 0.0%1/1
20241.80EUR 28.6%
20231.40EUR 22.2%
20221.80EUR 0.0%
20211.80EUR 2.9%
20191.75EUR 6.1%
20181.65EUR 0.0%
20171.65EUR 10.0%
20161.50EUR 7.1%

Scor dividend history and estimates

In 2025, Scor paid a dividend amounting to 1.80 EUR. Dividend means that Scor distributes a portion of its profits to its owners.
  • 3 Years

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  • Max

Dividend
Details
Date
Dividend
Dividend (Estimate)
Jan 1, 2021
1.80 EUR
0.00 EUR
Jan 1, 2022
1.80 EUR
0.00 EUR
Jan 1, 2023
1.40 EUR
0.00 EUR
Jan 1, 2024
1.80 EUR
0.00 EUR
Jan 1, 2025
1.80 EUR
0.00 EUR
Jan 1, 2026
1.90 EUR
0.00 EUR
Jan 1, 2027 (e)
0.00 EUR
1.92 EUR
Jan 1, 2028 (e)
0.00 EUR
1.94 EUR

Scor dividend payout ratio

In 2025, Scor had a payout ratio of 37.60%. The payout ratio indicates the percentage of the company's profits that Scor distributes as dividends.
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  • Max

Payout ratio
Details
Date
Payout ratio
Jan 1, 2021
71.49 %
Jan 1, 2022
-23.31 %
Jan 1, 2023
33.21 %
Jan 1, 2024
8,065.39 %
Jan 1, 2025
37.60 %
Jan 1, 2026 (e)
45.39 %
Jan 1, 2027 (e)
43.45 %
Jan 1, 2028 (e)
42.38 %

Current Scor forecasts and price targets in September 2026

Analyst Price Targets 2026
Δ MOM Price Target
0.37 %
Buy
68.42 % (13)
Hold
31.58 % (6)
Sell
0.00 % (0)
12M Price Target
32.52
Last Price
33.24
Currency
EUR
12M Return Potential
-2.17 %
LTM Return
0 %

Scor Analyst Rating Actions

DateFirmActionRatingReliability
8/1/2021
UBS
UBS
UpgradeSellNeutral46
7/18/2021
Commerzbank
Commerzbank
UpgradeHoldBuy

Eulerpool Reliability Score (0–100): measures how often a firm’s bullish or bearish calls were directionally correct three months later, blended with the average return following its calls. Every rating we record is stored permanently and scores update continuously; firms with fewer than 3 measured calls are not scored yet.

Scor Earnings Estimates & Surprises

DateEPS estimateEPS ActualRevenue EstimatePrice reactionQuarterly report
2/29/20241.20EUR-4.68 BEUR-2023 Q4
7/26/20230.96EUR--EUR-2023 Q2
2/22/20230.41EUR-3.98 BEUR-2022 Q4
11/9/2022-0.58EUR-4.59 BEUR-2022 Q3
7/28/20220.28EUR-4.38 BEUR-2022 Q2
5/6/2022-0.05EUR-4.11 BEUR-2022 Q1
2/24/20220.57EUR-4.00 BEUR-2021 Q4
10/27/2021-0.75EUR-4.30 BEUR-2021 Q3
7/28/20210.98EUR-3.76 BEUR-2021 Q2
4/28/2021-0.04EUR-4.46 BEUR-2021 Q1

EESG©

Eulerpool ESG Scorecard© for the Scor stock

83/100
99
Environment
63
Social
88
Governance
E

Environment

20
Scope 1 - Direct Emissions471
Scope 2 - Indirect emissions from purchased energy3,705
Scope 3 - Indirect emissions within the value chain7,419,869
Total CO₂ emissions4,176
CO₂ reduction strategy
Coal energy
Nuclear power
Animal experiments
Fur & Leather
Pesticides
Palm Oil
Tobacco
Genetically modified organisms
Climate concept
Sustainable forestry
Recycling regulations
Environmentally friendly packaging
Hazardous substances
Fuel consumption and efficiency
Water consumption and efficiency
S

Social

20
Percentage of female employees47
Percentage of women in management
Percentage of Asian employees
Share of Asian management
Percentage of Hispanic/Latino employees
Hispano/Latino Management share
Percentage of Black employees
Black Management Share
Percentage of white employees
White Management Share
Adult content
Alcohol
Weapons
Firearms
Gambling
Military contracts
Human rights concept
Privacy concept
Occupational health and safety
Catholic
G

Governance (Corporate Governance)

4
Environmental reporting
Stakeholder Engagement
Call Back Policies
Antitrust law

The Eulerpool ESG Scorecard© is the strictly copyrighted intellectual property of Eulerpool Research Systems. Any unauthorized use, imitation, or infringement will be actively pursued and may lead to significant legal consequences. For licenses, collaborations, or usage rights, please contact us directly via our contact form. Contact Form to us.

Scor shareholder structure

% Name
3.34131%
The Vanguard Group, Inc.
The Vanguard Group, Inc.
1.89322%
La Financière de l'Echiquier
La Financière de l'Echiquier
1.56946%
Dimensional Fund Advisors, L.P.
Dimensional Fund Advisors, L.P.
1.27283%
Union Investment Privatfonds GmbH
Union Investment Privatfonds GmbH
1.19682%
BlackRock Institutional Trust Company, N.A.
BlackRock Institutional Trust Company, N.A.
0.95460%
BNP Paribas Asset Management UK Limited
BNP Paribas Asset Management UK Limited
...

Scor Beneficial Ownership Filings (SEC 13D/G)

Free Float
95.0%
Float Shares
-
Shares Outstanding
-

Scor Executives and Management Board

22 members · avg. age 57 · 41 % women

TL

Mr. Thierry Leger (58)

Chief Executive Officer, Executive Director · since 2023

2.35 M EUR

Management

FV

Mr. Francois de Varenne (57)

Deputy Chief Executive Officer, Group Chief Financial Officer, Member of the Group Executive Committee

216,837.00 EUR
CD

Ms. Claudia Dill (58)

Group Chief Operating Officer, Member of the Group Executive Committee

FU

Mr. Fabian Uffer

Group Chief Risk Officer, Member of the Group Executive Committee

CG

Ms. Claire Le Gall-Robinson (48)

Group Chief ESG Officer, Group General Secretary - Governance, Legal and Compliance, Sustainability, Human Resources and Communications and Public Affairs, Member of the Group Executive Committee

JC

Mr. Jean-Paul Conoscente

Chief Executive Officer of SCOR P&C, Member of the Group Executive Committee

CM

Ms. Claire Mcdonald

Chief Executive Officer - SCOR Business Solutions, Member of the Group Executive Committee

Board of Directors

FB

Mr. Fabrice Bregier (63)

Independent Chairman of the Board

738,571.00 EUR
BP

Mr. Bruno Pfister (65)

Independent Director

180,000.00 EUR
VM

Mrs. Vanessa Marquette (53)

Independent Director

176,000.00 EUR
FW

Ms. Fields Wicker-Miurin (66)

Independent Director

168,000.00 EUR
AC

Mr. Adrien Couret (41)

Independent Director

161,000.00 EUR
PL

Mrs. Patricia Lacoste (62)

Independent Director

140,000.00 EUR

Scor Supply Chain

Scor Supply Chain

Correlation: how closely stock prices move together

Same directionNo relationOpposite
22 companies
#Nameβ 1YTrend
1
CNO Finl Group
Customer·Insurance·US
-0.04
-0.04
0.36
0.48
0.33
0.64
0.27
2
RLI
Customer·Insurance·US
0.70
0.41
0
-0.54
0.16
0.58
0.13
3
Brighthouse Financial
Customer·Insurance·US
0.08
-0.14
0.37
0.63
0.75
0.58
1.41
4
Fairfax Finl Hldg
Customer·Insurance·CA
0.37
0.34
0.23
0.12
0.56
0.51
0.49
5
Genworth Financial A
Customer·Insurance·US
0.20
0.02
0.06
0.38
0.47
0.51
0.48
#Nameβ 1YTrend
1
Federal Life Group
Customer·Insurance·US
-0.02
-0.03
-0.19
2
Harel Insur Invts & Fincl
Customer·Thrifts & Mortgage Finance·IL
-0.56
-0.11
0.38
-0.21
0.40
3
-0.73
-0.12
-0.37
0
0.59
4
DFV
Customer·Insurance·DE
-0.52
-0.31
0.03
0.01
-0.55
-0.52
5
FedNat Holding
Customer·Insurance·US
0.36
0.22
0.31
0.33
-0.45
-0.44

Frequently asked questions about 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.

Analysts currently set an average price target of 31.91 EUR for the Scor stock (median: 32.52 EUR), implying -4.0 % versus the latest price. The consensus is based on 19 analyst ratings.

19 analysts currently rate the Scor stock: 13 recommend buying, 6 holding and 0 selling. For 2026, analysts expect Scor to generate revenue of 15.49 B EUR and earnings per share of 4.28 EUR.

The Scor share (SCR.PA) is listed on 9 stock exchanges, including: XETRA (SDRC.DE), Frankfurt (SDRC.F), München (SDRC.MU), Düsseldorf (SDRC.DU), London (0IT3.L), SIX (Zürich) (SCR.SW), 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.

The expected revenue of Scor is 15.49 B EUR. This figure is based on current financial data and reflects the company's business performance.

The expected profit of Scor is 760.13 M EUR. The net profit reflects the company's profitability after deducting all expenses.

The price-to-earnings ratio (P/E) of Scor is currently 7.77. The P/E ratio compares the current share price to the earnings per share and helps investors assess the valuation of the Scor stock.

The price-to-sales ratio (P/S) of Scor is currently 0.38. The P/S ratio compares the market capitalization to the annual revenue and serves as a valuation metric for the Scor stock.

The Eulerpool Quality Score for Scor is 3/10.

The ISIN of Scor is FR0010411983. The ISIN (International Securities Identification Number) is a globally unique identifier for securities.

The WKN of Scor is A0LGQX. The WKN (Wertpapierkennnummer) is a six-digit German security identification number.

The ticker of Scor is SCR.PA. The ticker symbol is used to trade Scor shares on the stock exchange.

Over the past 12 months, Scor paid a dividend of 1.80 EUR . This corresponds to a dividend yield of about 5.42 %. For the coming 12 months, Scor is expected to pay a dividend of 1.92 EUR.

The current dividend yield of Scor is 5.42 %.

Scor pays a dividend, distributed in the months of , , , .

Scor paid dividends every year for the past 5 years.

For the upcoming 12 months, dividends amounting to 1.92 EUR are expected. This corresponds to a dividend yield of 5.78 %.

Scor is assigned to the 'Finance' sector.

To receive the latest dividend of Scor from amounting to 1.9 EUR, you needed to have the stock in your portfolio before the ex-date on .

The last dividend was paid out on .

In the year 2025, Scor distributed 1.8 EUR as dividends.

The dividends of Scor are distributed in EUR.

All fundamentals and in-depth analysis of Scor

Our stock analysis for Scor 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 Scor. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.