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SCOR SE (SCRYY)
OTHER OTC:SCRYY

SCOR SE (SCRYY) Price & Analysis

15 Followers

SCRYY Stock Chart & Stats

$3.30
<$0.01(0.20%)
At close: 4:00 PM EST
$3.30
<$0.01(0.20%)

Bulls Say, Bears Say

Bulls Say
Capital Adequacy & High ROESCOR's 215% Solvency II ratio and 19.1% ROE reflect a durable capital buffer and strong return generation. That level of solvency supports sustained underwriting capacity, dividend policy and opportunistic buffer building, and provides resilience to absorb larger losses over the coming months.
Consistent Cash GenerationConsistently positive operating and free cash flows provide SCOR with reliable internal funding for claims, investments and shareholder returns. This steady cash generation increases financial flexibility, reduces reliance on external funding and supports durable capital management over a 2–6 month horizon.
Underwriting Discipline And Cost SavingsOutperforming P&C combined ratio targets and €170m of cost savings (ahead of plan) point to sustainable underwriting discipline and structural expense control. Together they improve margin durability, allow competitive but disciplined pricing, and underpin medium‑term profitability and dividend support.
Bears Say
Declining Revenue TrendA multi-year top‑line decline reduces SCOR's underwriting scale and the insurance 'float' that funds investment income. Sustained revenue erosion can constrain growth, weaken pricing leverage with cedants, and limit long-term investment return potential, making capital allocation and growth harder to execute.
Earnings And Margin VolatilityMaterial swings in profitability and margins reflect exposure to nat‑cat, man‑made events and cyclical pricing. Persistent volatility complicates capital planning, weakens forward earnings visibility and increases the risk that dividends, buybacks or reinvestment plans must be adjusted when adverse claims experience re-emerges.
Regulatory Reform And Refinancing Timing RiskPending Solvency II reform (estimated -10–15ppt impact) and a near‑term Tier‑2 call/refinancing create structural capital and funding uncertainty. If reforms reduce available capital or refinancing costs rise, SCOR may need to raise capital, cut distributions, or adjust underwriting strategy—affecting medium‑term positioning.

SCOR SE News

SCRYY FAQ

What was SCOR SE’s price range in the past 12 months?
SCOR SE lowest stock price was $2.65 and its highest was $3.71 in the past 12 months.
    What is SCOR SE’s market cap?
    SCOR SE’s market cap is $6.65B.
      When is SCOR SE’s upcoming earnings report date?
      SCOR SE’s upcoming earnings report date is May 06, 2026 which is in 26 days.
        How were SCOR SE’s earnings last quarter?
        SCOR SE released its earnings results on Mar 04, 2026. The company reported $0.14 earnings per share for the quarter, beating the consensus estimate of $0.107 by $0.033.
          Is SCOR SE overvalued?
          According to Wall Street analysts SCOR SE’s price is currently Overvalued. Get more investment ideas with TipRanks Premium
            Does SCOR SE pay dividends?
            SCOR SE pays a Annually dividend of $0.204 which represents an annual dividend yield of 5.81%. See more information on SCOR SE dividends here
              What is SCOR SE’s EPS estimate?
              SCOR SE’s EPS estimate is 0.12.
                How many shares outstanding does SCOR SE have?
                SCOR SE has 1,794,244,100 shares outstanding.
                  What happened to SCOR SE’s price movement after its last earnings report?
                  SCOR SE reported an EPS of $0.14 in its last earnings report, beating expectations of $0.107. Following the earnings report the stock price went up 3.218%.
                    Which hedge fund is a major shareholder of SCOR SE?
                    Currently, no hedge funds are holding shares in SCRYY
                    What is the TipRanks Smart Score and how is it calculated?
                    Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology

                      SCOR SE Stock Smart Score

                      5
                      Neutral
                      1
                      2
                      3
                      4
                      5
                      6
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                      8
                      9
                      10

                      Technicals

                      SMA
                      Negative
                      20 days / 200 days
                      Momentum
                      26.84%
                      12-Months-Change

                      Fundamentals

                      Return on Equity
                      19.25%
                      Trailing 12-Months
                      Asset Growth
                      9.63%
                      Trailing 12-Months

                      Company Description

                      SCOR SE

                      SCOR SE, together with its subsidiaries, provides life and non-life reinsurance products in Europe, the Middle East, Africa, the Americas, Latin America, and Asia Pacific. It operates through two segments, SCOR Global P&C and SCOR Global Life. The SCOR Global P&C segment offers reinsurance products in the areas of property, motors, casualty treaties, credit and surety, decennial insurance, aviation, marine and energy, engineering, agricultural risks, and property catastrophes; specialties insurance products, including business solutions, political and credit risks, cyber, and environmental impairment liability; and business ventures and partnerships. The SCOR Global Life segment provides life reinsurance products, including protection for mortality, morbidity, behavioral risks, disability, long-term care, critical illness, medical, and personal accident. This segment also provides financial solutions that combine traditional life reinsurance with financial components and provide liquidity, balance sheet, solvency, and income improvements to clients; longevity solutions that include products covering the risk of negative deviation from expected results due to the insured or annuitant living longer than assumed in the pricing of insurance covers provided by insurers or pension funds; and distribution solutions. In addition, it is involved in the asset management business. The company was founded in 1970 and is headquartered in Paris, France.

                      SCOR SE (SCRYY) Earnings & Revenues

                      SCRYY Company Deck

                      SCRYY Earnings Call

                      Q4 2026
                      0:00 / 0:00
                      Earnings Call Sentiment|Positive
                      The call was predominantly positive: SCOR reported record net income, robust ROE, strong solvency (215%), significant economic value growth (+13.7% vs 9% target), a raised dividend (+5.6%), EUR 170m of cost savings ahead of plan, excellent P&C underwriting metrics (combined ratio well below target, nat cat and attritional loss ratios improving), and Life & Health and investment results beating guidance. Key risks and headwinds were noted but appear manageable: competitive P&C pricing and SBS weakness, some underperforming Life contracts (addressed with reserve strengthening), refinancing timing on Tier 2, man-made loss volatility, pending arbitration, and potential Solvency II reform impacts (estimated -10–15ppt). Overall, the positive operational and capital outcomes materially outweigh the identified lowlights.View all SCRYY earnings summaries
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                      Ownership Overview

                      0.02%<0.01%99.98%
                      Insiders
                      <0.01% Other Institutional Investors
                      99.98% Public Companies and
                      Individual Investors

                      Options Prices

                      Currently, No data available
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