SCOR, FR0010411983

SCOR stock focus turns to recent earnings and valuation

Published on 09/20/2026 at 20:28 | Editorial responsibility: Rafael Müller, Editor-in-Chief AD HOC NEWS

SCOR stock remains closely tied to the reinsurer’s latest reported earnings and capital position as investors reassess valuation as of September 20, 2026. Recent figures highlight how profitability and balance-sheet strength frame the risk-reward profile for shareholders.

Fotorealistisches Rückversicherungs-Büro SCOR SE FR0010411983 Paris
SCOR SE FR0010411983 zeigt fotorealistisches modernes Rückversicherungs-Büro mit Analysten vor Risikomodell-Bildschirmen in Paris, Illustration mit AI erstellt.

SCOR stock (ISIN FR0010411983) is being evaluated by investors against the backdrop of its most recently reported earnings and capital position as of September 20, 2026, with the reinsurer’s profitability and valuation setting the tone for sentiment toward the shares.

Earnings context and recent performance

SCOR, the Paris-based reinsurance group, has reported recent results that frame how much earnings power investors can currently expect from the business, including group-wide revenue and net income for its latest completed reporting period, which serve as the key benchmarks for the stock’s valuation and risk profile.

The most recent half-year or quarterly figures, covering a period that ended within the last nine months relative to September 20, 2026, show how SCOR’s revenue and net income have developed compared with the prior-year period, offering a quantified view of growth and profitability that investors use to assess whether the current share price fairly reflects the company’s earnings trajectory.

Profitability, capital strength and guidance

In these latest reported figures, SCOR has disclosed how underwriting and investment income contributed to net profit for the period, together with any updated guidance for full-year earnings and return on equity, giving shareholders a clearer picture of how management sees the balance between growth, risk-taking and capital strength.

Alongside the profit figures, SCOR’s disclosures include data on solvency and capital adequacy, which are central in the reinsurance sector, as investors closely watch regulatory coverage ratios and capital buffers to understand how resilient the balance sheet would be in the face of large claims or market shocks.

Stock price and valuation signals

On its primary listing in Paris, SCOR stock trades in euros and reflects the market’s view of the latest earnings and capital data, with the current price as of the most recently completed trading day prior to September 20, 2026, setting the starting point for any comparison with fundamentals and analyst valuation metrics.

At that level, investors consider how SCOR’s market capitalization compares with its most recently reported net income over the last twelve months, effectively deriving a price-to-earnings multiple that can be contrasted with both the company’s own historical valuations and the typical ranges for global peers in the reinsurance industry.

Analyst views on SCOR stock

Recent analyst commentary on SCOR stock within September 2026 has focused on how the latest earnings and capital metrics translate into valuation and rating decisions, including whether to maintain, upgrade or downgrade recommendations such as Buy, Hold or Sell based on updated forecasts and risk assessments.

Where analysts have published fresh price targets for SCOR shares, they have typically anchored those targets in scenarios for future earnings and capital development, setting numerical goals in euros that can be compared with the current share price to gauge implied upside or downside potential for investors.

Risk factors for shareholders

For SCOR shareholders, key risks highlighted in recent discussions include the potential impact of large natural catastrophe events on claims and earnings, the sensitivity of investment returns to interest rates and market volatility, and the possibility that regulatory or rating-agency decisions could affect the company’s cost of capital.

These risks are weighed against the latest reported profitability and solvency figures, so that investors can make a quantified judgment about whether the current price, relative to recent earnings and capital strength, offers a sufficiently attractive risk-reward profile in the context of the broader reinsurance sector.

SCOR stock and investor perspective

As of the latest completed trading day before September 20, 2026, the price of SCOR stock on Euronext Paris in euros and the associated market capitalization give investors a concrete numerical anchor for their assessment, complemented by the most recently reported revenue and net income for the latest half-year or fiscal year and any quantified changes versus the prior-year period.

SCOR stock - key data

  • Company: SCOR SE
  • ISIN: FR0010411983
  • Ticker: [ticker]
  • Trading venue: Euronext Paris
  • Price (as of September 19, 2026): [value] EUR
  • Market capitalization: [value] EUR (as of September 19, 2026)
  • Sector / Industry: Financials / Reinsurance
  • Index membership: [index]

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