Axis Capital dividend calculator – Invest in Axis Capital for a Great Dividend Yield Now!

February 2, 2023

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Axis Capital dividend calculator – Axis Capital ($NYSE:AXS) is a great investment option for dividend yields at the moment. It is a leading investment firm with a long-standing history of delivering innovative and market-leading products and services. The company has a strong portfolio of investments in various sectors, including stocks, bonds, mutual funds, and other financial instruments. The company’s financial products are designed to provide investors with a way to diversify their investments and maximize returns. They have a well-earned reputation for providing high quality and reliable investments that are tailored to the needs of investors. The company has a wide array of products and services to meet the needs of any investor, ranging from those who are just starting out to experienced investors who want to diversify their portfolios.

As an investor, you can expect to receive a very competitive and stable dividend yield on your investments. The company also offers a range of financial tools and advice to help investors make informed decisions. They have a team of highly qualified professionals that are available to provide personalized investment advice and guidance. The company has a long history of providing high quality investments and services, and they offer a wide range of products that are tailored to the needs of any investor. With their competitive dividend yields and financial advice, Axis Capital is an ideal option for those looking to invest in the stock market.

Dividends – Axis Capital dividend calculator

The company has been consistently issuing annual dividend per share of 1.73 USD for the past three years, providing a yield of 3.09% for 2022 to 2022. The company’s financials are strong and it is well-positioned to deliver sustainable cash flows in the future. Core businesses are performing well and the management is committed to increase shareholder value. It has been strategically deploying capital to support growth and has consistently been paying out dividends for the last three years. Axis Capital has a diversified portfolio and its financial results are impressive. It has been consistently generating returns above its peers and is well-positioned to continue doing so in the future. The company’s stock is highly liquid and provides investors with an opportunity to easily exit their positions if they choose to do so. Axis Capital’s dividend yield is likely to remain strong in the coming years as the company is expected to continue paying out dividends. It has a strong balance sheet and is well-positioned to weather any economic downturns.

Additionally, the company is well-positioned to benefit from any potential upside in the economy. The company has consistently been paying out dividends and is well-positioned to continue doing so in the future. Additionally, its financials are strong and it has a diversified portfolio of businesses. Therefore, if you’re keen on dividend stocks, Axis Capital might be worth considering.

About the Company

  • Industry Classification
  • Key Executives
  • Ownership (Institutional/ Fund Holdings)
  • News Feed
  • Income Snapshot

    Below shows the total revenue, net income and net margin for Axis Capital. More…

    Total Revenues Net Income Net Margin
    5.29k 192.83 4.8%
  • Income Statement Reports (Yearly/ Quarterly/ LTM)
  • Income Supplement
  • Growth Performance
  • Cash Flow Snapshot

    Below shows the cash from operations, investing and financing for Axis Capital. More…

    Operations Investing Financing
    1.02k -1.11k -186.09
  • Cash Flow Statement (Yearly/ Quarterly/ LTM)
  • Cash Flow Supplement
  • Balance Sheet Snapshot

    Below shows the total assets, liabilities and book value per share for Axis Capital. More…

    Total Assets Total Liabilities Book Value Per Share
    27.6k 22.96k 51.3
  • Balance Sheet (Yearly/ Quarterly)
  • Balance Sheet Supplement
  • Key Ratios Snapshot

    Some of the financial key ratios for Axis Capital are shown below. More…

    3Y Rev Growth 3Y Operating Profit Growth Operating Margin
    0.7% 5.8%
    FCF Margin ROE ROA
    19.3% 4.3% 0.7%
  • Income Statement Ratios
  • Balance Sheet Ratios
  • Cash Flow Ratios
  • Valuation Ratios
  • Other Ratios
  • Other Supplementary Items
  • Market Price

    On Tuesday, Axis Capital stock opened at $61.9 and closed at $62.6, representing a 1.3% increase from the last closing price of $61.8. This rise in stock price has been seen as a positive sign for many investors and a sign that the company is doing well despite the current market conditions. It’s important to note however, that dividend yields are not guaranteed and can change depending on market conditions and the company’s performance. Therefore, investors should pay close attention to the company’s financials before investing in Axis Capital stock. Moreover, Axis Capital is well-known for its low cost of borrowing and high returns on investments.

    This makes it an attractive option for investors who are looking to get higher returns with minimal risk. Furthermore, the company has a strong balance sheet and solid cash flow, which is a positive sign for any investor looking to invest in Axis Capital. The stock opened and closed up from its last price, which is a good sign that it is doing well despite the current market conditions. Moreover, the company’s low cost of borrowing and high returns on investments make it an attractive option for investors who are looking for higher returns with minimal risk. Live Quote…

    Analysis – Axis Capital Intrinsic Value

    AXIS CAPITAL is a company whose fundamentals have been analyzed by GoodWhale. Our proprietary Valuation Line has calculated the intrinsic value of AXIS CAPITAL shares to be around $49.4. Currently, AXIS CAPITAL stock is trading at $62.6, indicating an overvaluation of 26.7%. This suggests that the current price is higher than the intrinsic value and may not be sustainable in the long term. The overvaluation of AXIS CAPITAL stock can be attributed to market speculation, where traders are taking advantage of short term trends and buying up shares at the current high price. This means that investors need to be cautious when investing in AXIS CAPITAL, as it may be difficult to generate returns in the long run. It is important for investors to appropriately evaluate a company’s fundamentals before making any investment decisions. As AXIS CAPITAL is currently overvalued, it is important to look at other factors such as financial performance and industry trends before making an investment decision. Overall, GoodWhale’s analysis of AXIS CAPITAL’s fundamentals suggests that the current price of the stock is higher than its intrinsic value and may not be sustainable in the long term. Investors are advised to take this into consideration when making any investment decisions. More…

  • Risk Rating Analysis
  • Star Chart Analysis
  • Valuation Analysis
  • Peers

    The Company operates through two segments: Insurance and Reinsurance. The Insurance segment offers a range of primary casualty insurance products, including general liability, professional liability, property, automobile and workers’ compensation. The Reinsurance segment provides reinsurance products, including property catastrophe, property, casualty, professional liability, workers’ compensation and other lines. Axis Capital Holdings Ltd., together with its subsidiaries, is a global provider of specialty lines of insurance and reinsurance products.

    – Heritage Insurance Holdings Inc ($NYSE:HRTG)

    Heritage Insurance Holdings Inc is a insurance company that focuses on property and casualty insurance. The company has a market cap of $37.99 million and a return on equity of -49.54%. The company’s main products include homeowners insurance, automobile insurance, and commercial insurance.

    – United Fire Group Inc ($NASDAQ:UFCS)

    United Fire Group, Inc., through its subsidiaries, provides insurance protection in the property and casualty market for individuals, families, and businesses worldwide. The company operates in three segments: Property and Casualty, Group Benefits, and Life. The Property and Casualty segment offers fire, allied lines, auto, workers’ compensation, and liability insurance products. The Group Benefits segment provides group life, health, disability, and long-term care insurance products. The Life segment offers universal life and annuity products. United Fire Group, Inc. was founded in 1873 and is headquartered in Cedar Rapids, Iowa.

    As of 2022, United Fire Group Inc has a market cap of 824.66M and a ROE of 8.5%. The company operates in three segments: Property and Casualty, Group Benefits, and Life. The Property and Casualty segment offers fire, allied lines, auto, workers’ compensation, and liability insurance products. The Group Benefits segment provides group life, health, disability, and long-term care insurance products. The Life segment offers universal life and annuity products.

    – Global Indemnity Group LLC ($NYSE:GBLI)

    Global Indemnity Group LLC is a provider of insurance coverage and services. The company offers a range of property and casualty insurance products, including commercial automobile, general liability, workers’ compensation, and professional liability insurance. Global Indemnity Group LLC has a market cap of 303.02M as of 2022 and a Return on Equity of -0.24%. The company’s products are designed to protect policyholders from the financial consequences of property and casualty losses.

    Summary

    Axis Capital is a financial services company that offers a great potential for dividend yield. Recent media coverage has been mostly negative, but an investment analysis reveals that the company has a strong financial track record and robust financials that make it a safe and lucrative investment option. Its products are diversified and its operations are well-managed, making it an attractive choice for investors looking for long-term returns.

    Its experienced management team is focused on delivering strong returns to its investors. Although the stock market is volatile, its dividend yield remains attractive and its financials are sound.

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