SCOR SE (SCOR)

20.50
+0.06(+0.29%)
  • Volume:
    604,669
  • Bid/Ask:
    0.00/0.00
  • Day's Range:
    19.75 - 20.56
High dividend Yield

Dividend yield shows how much a company pays its shareholders in dividends annually per dollar invested. It reflects how much an investor will earn aside from any capital gains in the stock.

SCOR Overview

Prev. Close
20.44
Day's Range
19.75-20.56
Revenue
16.93B
Open
20.29
52 wk Range
13.31-29.97
EPS
-1.69
Volume
604,669
Market Cap
3.67B
Dividend (Yield)
1.40
(6.95%)
Average Vol. (3m)
494,374
P/E Ratio
-12.12
Beta
1.27
1-Year Change
-28.89%
Shares Outstanding
179,077,975
Next Earnings Date
May 12, 2023
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  • SCOR Earnings Miss, Revenue Beats In Q2
    • ByInvesting.com-

    Investing.com - SCOR reported on Thursday second quarter earnings that missed analysts' forecasts and revenue that topped expectations. SCOR announced earnings per share of...

  • SCOR Earnings Miss, Revenue Beats In Q1
    • ByInvesting.com-

    Investing.com - SCOR reported on Friday first quarter earnings that missed analysts' forecasts and revenue that topped expectations. SCOR announced earnings per share of...

SCOR SE Company Profile

SCOR SE Company Profile

Industry
Insurance
Employees
3590
Market
France
  • Type:Equity
  • Market:France
  • ISIN:FR0010411983

SCOR SE is engaged in providing life and non-life reinsurance. The Company's segments include SCOR Global P&C (Non-Life) and SCOR Global Life (Life). The Company's divisions include SCOR Global P&C, SCOR Global Life and SCOR Global Investments. The Company's Non-Life segment is divided into four business areas: Property and Casualty Treaties; Specialty Treaties; Business Solutions (underwriting of large corporate accounts), and Business Ventures and Partnerships. It covers all insurable risks of industrial groups and services companies (large corporate accounts). The Company's Property and Casualty Treaties business area underwrites proportional and non-proportional reinsurance treaties. Its casualty treaties typically cover original risks of general liability, product liability or professional indemnity. The Company's Global Life segment underwrites Life reinsurance business in the product lines, such as Protection, Financial Solutions and Longevity.

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Analyst Price Target

Average26.67 (+30.12% Upside)
High32.00
Low20.00
Price20.50
No. of Analysts16
Strong Sell
Sell
Neutral
Buy
Strong Buy
Buy
Analysts Consensus

Technical Summary

Type
5 Min
15 Min
Hourly
Daily
Monthly
Moving AveragesBuyStrong BuyBuyStrong SellStrong Sell
Technical IndicatorsStrong BuyStrong BuyStrong BuyStrong SellNeutral
SummaryStrong BuyStrong BuyStrong BuyStrong SellSell
  • SCR's net debt to equity ratio (4.4%). Earnings payout ratio -200%. Really bad (company forecast is unprofitable). 87% cash payout to shareholders. What a pity with earnings payout ratio -200% I only think this: avoid
    0
    • What happened to dividend?
      0