BofA Securities analyst Joshua Shanker maintains $Axis Capital Holdings (AXS.US)$ with a buy rating, and sets the target price at $96.
According to TipRanks data, the analyst has a success rate of 64.4% and a total average return of 11.3% over the past year.
Furthermore, according to the comprehensive report, the opinions of $Axis Capital Holdings (AXS.US)$'s main analysts recently are as follows:
The third quarter saw a flurry of global catastrophe events, yet the projected impact on Q3 catastrophe losses for property and casualty insurers is anticipated to be manageable. In preparation for Q4, 'placeholder' losses from Hurricane Milton have been factored into models, though there is still a level of uncertainty given the storm's recent landfall. Overall, adjustments to expectations within the industry have been made to reflect occurrences throughout the quarter and shifts in P/E multiples.
The third-quarter outcomes, particularly for reinsurers, might be impacted by the recent Hurricane Milton. An analyst maintains a positive outlook, especially on Personal Lines, due to improving margins and the growth in the number of policies. For the third quarter, it is anticipated that catastrophe losses will be less than the five-year seasonal average but significantly more than those seen in the same quarter of the previous year. This could pose risks for primary insurers within the Property and Casualty Insurance/Insurtech sector.
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Success rate is the number of the analyst's successful ratings, divided by his/her total number of ratings over the past year. A successful rating is one based on if TipRanks' virtual portfolio earned a positive return from the stock. Total average return is the average rate of return that the TipRanks' virtual portfolio has earned over the past year. These portfolios are established based on the analyst's preliminary rating and are adjusted according to the changes in the rating.
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美銀證券分析師Joshua Shanker維持$埃克斯資本 (AXS.US)$買入評級,目標價96美元。
根據TipRanks數據顯示,該分析師近一年總勝率為64.4%,總平均回報率為11.3%。
此外,綜合報道,$埃克斯資本 (AXS.US)$近期主要分析師觀點如下:
第三季度發生了一系列全球災難事件,但預計對財產和意外傷害保險公司第三季度災難損失的影響是可以控制的。在爲第四季度做準備時,模型中考慮了颶風米爾頓造成的 「佔位符」 損失,儘管鑑於該風暴最近登陸,仍存在一定程度的不確定性。總體而言,已經對行業內部的預期進行了調整,以反映整個季度的發生情況以及市盈率的變化。
第三季度的業績,特別是再保險公司的業績,可能會受到最近的米爾頓颶風的影響。由於利潤率的提高和保單數量的增長,分析師保持樂觀的前景,尤其是在個人專線方面。預計第三季度的災難損失將低於五年的季節性平均水平,但將大大超過去年同期的水平。這可能會給財產和意外傷害保險/保險科技領域的主要保險公司帶來風險。
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