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Arch Capital Group (ACGL)

(Delayed Data from NSDQ)

$88.83 USD

88.83
1,335,119

-0.03 (-0.03%)

Updated Aug 8, 2025 04:00 PM ET

After-Market: $88.82 -0.01 (-0.01%) 7:06 PM ET

Zacks Rank:

This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.

Zacks Rank Definition Annualized Return
1Strong Buy23.75%
2Buy17.82%
3Hold9.58%
4Sell5.28%
5Strong Sell2.61%
S&P50011.30%

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3-Hold of 5     3    

Style Scores:

The Style Scores are a complementary set of indicators to use alongside the Zacks Rank. It allows the user to better focus on the stocks that are the best fit for his or her personal trading style.

The scores are based on the trading styles of Value, Growth, and Momentum. There's also a VGM Score ('V' for Value, 'G' for Growth and 'M' for Momentum), which combines the weighted average of the individual style scores into one score.

  • Value Score A
  • Growth Score A
  • Momentum Score A
  • VGM Score A

Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F.

As an investor, you want to buy stocks with the highest probability of success. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style.

Zacks Style Scores Education - Learn more about the Zacks Style Scores

B Value F Growth B Momentum C VGM

Industry Rank:

The Zacks Industry Rank assigns a rating to each of the 265 X (Expanded) Industries based on their average Zacks Rank.

An industry with a larger percentage of Zacks Rank #1's and #2's will have a better average Zacks Rank than one with a larger percentage of Zacks Rank #4's and #5's.

The industry with the best average Zacks Rank would be considered the top industry (1 out of 265), which would place it in the top 1% of Zacks Ranked Industries. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%.

Zacks Rank Education -- Learn more about the Zacks Rank
Zacks Industry Rank Education -- Learn more about the Zacks Industry Rank

Top 28% (69 out of 244)

Industry: Insurance - Property and Casualty

Zacks News

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Are You a Value Investor? This 1 Stock Could Be the Perfect Pick

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Reasons Why Investors Should Retain Arch Capital (ACGL) Stock

Arch Capital (ACGL) stands to gain from new business opportunities, rate increases, strategic acquisitions and a solid capital position.

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Why This 1 Momentum Stock Could Be a Great Addition to Your Portfolio

Wondering how to pick strong, market-beating stocks for your investment portfolio? Look no further than the Zacks Style Scores.

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Why Investors Need to Take Advantage of These 2 Finance Stocks Now

Investors looking for ways to find stocks that are set to beat quarterly earnings estimates should check out the Zacks Earnings ESP.

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Zacks Industry Outlook Highlights Chubb, Arch Capital Group, Cincinnati Financial, Axis Capital Holdings and ProAssurance

Chubb, Arch Capital Group, Cincinnati Financial, Axis Capital Holdings and ProAssurance are part of the Zacks Industry Outlook article.

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Buy these Highly Ranked Stocks Poised to Beat Earnings Expectations

Rising quarterly and annual earnings estimates are starting to make these companies stand out among their respective sectors with now looking like a great time to buy their stocks.

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5 Property & Casualty Insurers to Buy With Improving Pricing

Frequent catastrophes resulting in an accelerated policy renewal rate and upward pricing pressure are likely to boost the performance of Zacks Property and Casualty Insurance industry players like CB, ACGL, CINF, AXS and PRA.

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Here's Why Hold Strategy is Apt for CNA Financial (CNA) Stock

CNA Financial (CNA) is poised to grow on the back of new businesses, improved non-catastrophe current accident year underwriting results, higher net earned premium and effective capital deployment.

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4 Insurance Stocks That Have Outperformed S&P 500 in a Year

Riding on better pricing, increased technology advancements, exposure growth and global expansion, ACGL, KNSL, RDN and PRI have outperformed the industry, the Finance sector and the S&P 500 composite.

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Cboe Global (CBOE) Stock Surges 24% YTD: More Upside Left?

Strong market position, global reach, strength in its proprietary products and solid capital position continue to drive Cboe Global (CBOE) shares.

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Here's Why You Should Retain Progressive (PGR) Stock for Now

Progressive (PGR) seems well-poised on improving premiums, steady policy life expectancy, investment in technology and a solid capital position.

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NMI Holdings (NMIH) Rises 35.1% YTD: More Room for Growth?

NMI Holdings (NMIH) stock rallies on the back of new business production, higher single premium policy cancellations, improved total mortgage origination volume and a strong capital position.

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Palomar (PLMR) Stock Gains 18.9% YTD: More Room for Growth?

Palomar (PLMR) stock gains from the expansion of products' geographic footprint and new partnerships, high-quality fixed-income securities, rate increases and reinsurance programs.

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Progressive's (PGR) August Earnings and Revenues Rise Y/Y

Progressive's (PGR) August results reflect higher revenues, partially offset by improved expenses.

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MetLife (MET) Unveils Solutions to Boost Footprint in Asia

MetLife (MET) launches 360Health in Nepal and 360Future in Korea to empower its clients to effectively manage their health conditions and enjoy a happy retirement life.

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Here's Why Hold Strategy is Appropriate for RLI Stock Now

RLI is poised to grow on the back of product diversification, better opportunities in inland marine space, rate increases, higher premium receipts and effective capital deployment.

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Lincoln National (LNC) Offers InsurTech Solutions to Clients

Lincoln National (LNC) unveils LincSmart to provide real-time updates to employer clients, which in turn, saves their time and frees them from administrative burdens.

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Should You Buy AXIS Capital (AXS) for Better Returns Now?

Underwriting excellence, a compelling and diversified product portfolio, digital capabilities and solid capital position poise AXIS Capital (AXS) for growth.

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W.R. Berkley (WRB) Board Approves Special Cash Dividend

Better pricing, expansion of international business, reserving discipline, a solid balance sheet and prudent capital management policy should help W.R. Berkley (WRB) maintain the streak of paying special dividends.

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Hartford Financial (HIG) Streamlines Workflow With New Launch

Hartford Financial (HIG) continues to invest in improving its technological capabilities to enhance customer experience.

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Should You Buy Employers Holdings (EIG) for Better Returns Now?

Niche focus on low-to-medium hazard risk small businesses, prudent pricing, investment in technology and solid capital position poise Employers Holdings (EIG) for growth.

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Are Finance Stocks Lagging Arch Capital Group (ACGL) This Year?

Here is how Arch Capital Group (ACGL) and Banco Macro (BMA) have performed compared to their sector so far this year.

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Reasons Why First American (FAF) Stock Is an Attractive Pick

First American (FAF) is well-poised for growth on the back of higher interest rates in cash and investment portfolio, stronger net realized investment gain and effective capital deployment.

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Here's Why Hold Strategy is Apt for Travelers (TRV) Stock

Travelers (TRV) is poised to benefit from strong returns from the non-fixed income portfolio, positive renewal premium change, high levels of retention and prudent capital deployment.