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Axis Capital Holdings

US · AXS #1792 by market cap Listed 1970
95.35 -0.81 -0.84%
Live - 5344 symbols - heartbeat 303s ago · 2026-10-08 04:05
Pre-market 94.52 -0.87%
After-hours 95.35 0.00%
Market cap
6.96B
P/B
1.17
EPS
12.35
Reader sentiment Are you bullish or bearish on AXS?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Fair Value how this is computed

Near fair value
85.99 fair value ≈ 142.80 199.61
  • Implied fair-value range of 85.99-199.61, from this stock's own trailing 5-year average P/E applied to trailing EPS.
  • Current price is -33.2% below the average-multiple fair value of 142.80.

Valuation each multiple against its own 5-year range

P/B ratio 1.17 In line with history 45th percentile
5-year average 1.19 · #10 of 14 in Insurance - Specialty
P/E ratio 6.82 Cheap vs history 1st percentile
5-year average 11.56 · forward 7.26 · #1 of 13 in Insurance - Specialty
P/S ratio 1.03 In line with history 52nd percentile
5-year average 1.03 · forward 1.08 · #5 of 15 in Insurance - Specialty

Vs. peers Insurance - Specialty

Company Market cap P/E (TTM) P/B Div yield
Axis Capital Holdings (AXS) 6.96B 6.79 1.17 1.85%
Fidelity National Financial (FNF) 10.46B 13.60 1.40 5.28%
Enact Holdings (ACT) 6.30B 9.67 1.17 1.90%
First American Financial (FAF) 6.26B 8.50 1.11 3.59%
Essent (ESNT) 5.56B 8.63 0.98 2.13%
MGIC Investment (MTG) 5.55B 8.46 1.11 2.22%

Other StockVane-tracked companies in the same industry.

Morningstar

★★★☆☆ Fair value101.10 Economic moatNone UncertaintyLow

Trading 6.0% below Morningstar's fair value estimate.

Fair value

Axis Capital Holdings Ltd is assigned a 3-star quantitative star rating, illustrating our stance that this share class is a balanced choice, but prudent investors should consider looking elsewhere. The stock currently trades at a 5% discount to our quantitative fair value estimate of $101.10 per share, which is reinforced by this estimate's low uncertainty rating. We require the price/fair value ratio to move a certain amount before the star rating can change. This stability-enhancing buffer is in effect for this stock.

The firm's valuation metrics bolster our fair value estimate. A company's valuation metrics provide insights into the market's expectations for its future growth and profitability. For example, the firm's book value yield of 85.8% sits in the top 40% globally. The market price is low relative to the book (accounting) value of the company's equity, which contributes to our view that shares are undervalued.

The company's profitability is an additional encouraging factor. Highly profitable companies are often more resilient in recessions and are likely to generate stronger future cash flows for shareholders. The firm's earnings yield of 15.8%, for example, ranks in the top 10% compared with peers globally. This suggests that it is generating substantial earnings relative to its share price, which further promotes our favorable price/fair value ratio.

In addition to the aforementioned drivers, our model considers momentum as part of its comprehensive analysis. This share class has outperformed the broader universe over the past year. While we believe the stock is undervalued, this outperformance had a negative impact on our valuation estimate.

Economic moat

This company lacks a competitive advantage, receiving a quantitative economic moat rating of none. However, its financial health score is strong, suggesting that the company should be well positioned to weather tough times.

By Quantitative Equity Report

Quote time 2026-10-08 04:05:11 · For reference only, not investment advice and not tailored to your situation.