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52.55
0.00 (0.00%)
H1 underlying earnings rose 9% excluding AXA IM, while EPS increased 8%, reaching the upper end of management's 6–8% growth target. P&C profitability remained resilient, with a 90.1% combined ratio despite catastrophe losses, while higher reinvestment yields continue to support investment income. A 218% Solvency II ratio provides ample capital flexibility and supports our expectation for continued shareholder distributions, including further buybacks.
Surprisingly, many foreign markets are way ahead of the U.S. in year-to-date performance.
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