RBC Capital analyst Kenneth Lee maintains $Voya Financial (VOYA.US)$ with a buy rating, and adjusts the target price from $83 to $90.
According to TipRanks data, the analyst has a success rate of 68.9% and a total average return of 17.1% over the past year.
Furthermore, according to the comprehensive report, the opinions of $Voya Financial (VOYA.US)$'s main analysts recently are as follows:
The expectation is that the third quarter's global catastrophe events will result in 'manageable' catastrophe losses for property and casualty insurers. For the fourth quarter, 'placeholder' losses have been incorporated into models to account for Hurricane Milton, although there is still uncertainty given the storm's recent landfall. The changes in expectations for the group are reflective of events that transpired during the quarter as well as adjustments in P/E multiples.
The anticipation of third-quarter results for U.S. Asset Managers suggests that the sector may have witnessed an improvement in fixed income organic growth sequentially during the period. Analysis of industry data indicates a likelihood of sustained positive net flows in the fixed income space through the months of the year up to the present. With substantial market appreciation observed in the quarter, it's posited that asset managers could experience margin benefits resulting from operating leverage.
Note:
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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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加皇資本市場分析師Kenneth Lee維持$Voya金融 (VOYA.US)$買入評級,並將目標價從83美元上調至90美元。
根據TipRanks數據顯示,該分析師近一年總勝率為68.9%,總平均回報率為17.1%。
此外,綜合報道,$Voya金融 (VOYA.US)$近期主要分析師觀點如下:
預計第三季度的全球災難事件將給財產和意外傷害保險公司帶來 「可控的」 災難損失。在第四季度,「佔位符」 損失已納入模型中,以考慮颶風米爾頓,儘管鑑於該風暴最近登陸,仍存在不確定性。該集團預期的變化反映了本季度發生的事件以及市盈率的調整。
對美國資產管理公司第三季度業績的預期表明,在此期間,該行業的固定收益有機增長可能已連續改善。對行業數據的分析表明,在一年中的幾個月中,固定收益領域可能持續出現正淨流量。隨着本季度市場大幅升值,據推測,資產管理公司可能會從運營槓桿中獲得利潤收益。
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