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StockMarketAgent
Financials / Insurance - DiversifiedUpdated 2026-05-10 22:07 UTC

PRA/VIG stock hub

PRA/VIG has a live ticker hub with the latest available market, valuation, profitability, growth, ownership, and risk indicators.

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Fair value midpoint
n/a
Fair value pending
Upside to midpoint
n/a
Based on latest report
Confidence
n/a
Data quality and model convergence
Market cap
208.3B
Prague Stock Exchange
Market data

Live price

Current market quote for this ticker.

Current price
PRA/VIG
In the news

Latest news · PRA/VIG

Recent company headlines from major financial publishers.

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Calendar

Next earnings

Upcoming earnings date and setup when available.

Upcoming
DateLoading
Window
EPS estimate
Revenue estimate
Sector context

Where the current metrics sit

Percentiles come from the backend screener cohort cache for the ticker's country and sector.

Forward P/E8.9
P25 9.1P50 10.3P75 11.1
Trailing P/E10.4
P25 10.8P50 12.1P75 14.2
ROE12.4
P25 10.8P50 13P75 14.1
ROIC11.1
P25 -1.9P50 3.1P75 7.3
Benchmarks - 1M
S&P 500n/a
Nasdaq Compositen/a
Dow Jones Industrial Averagen/a
Russell 2000n/a
Indicator catalog

All PRA/VIG market and fundamental indicators

A searchable catalog of the available market, valuation, profitability, growth, balance-sheet, ownership, and analyst metrics for this ticker.

Available fields
207
Groups with data
11
Currency
EUR
Showing 207 of 207 available metrics for this ticker.

Profile and market data

Ticker identity, listing, currency, market cap, and source dates.

18
MetricValue
Country
Austria
Country code
CZ
Employees
32,706
Enterprise value
CZK 237.6B
Exchange
Prague Stock Exchange
Financial currency
EUR
First seen
2026-05-10
Industry
Insurance - Diversified
Isin
AT0000908504
Last refreshed
2026-05-10
Market cap
CZK 208.3B
Price
CZK 1,637
Price currency
CZK
Rev Per Employee
10,181,735.77x
Sector
Financials
Sic
6331
Symbol
pra/VIG
Website
https://group.vig

Valuation

Multiples, yields, enterprise-value ratios, and valuation checks.

14
MetricValue
Earnings Yield
9.59%
EV Earnings
11.89x
EV/EBIT
6.7x
EV/EBITDA
5.49x
EV/FCF
15.51x
EV/Sales
0.71x
FCF yield
7.36%
Forward P/E
8.95x
P/B ratio
1.18x
P/E ratio
10.43x
P/S ratio
0.63x
PE Ratio10 Y
7.62x
PE Ratio3 Y
7.92x
PE Ratio5 Y
7.29x

Profitability

Margins, returns on capital, cash conversion, and quality metrics.

20
MetricValue
EBIT Margin
10.59%
EBITDA Margin
12.63%
FCF margin
4.6%
Gross margin
15.29%
Gross Profit
CZK 50.9B
Net Income
CZK 20B
Net Income Growth
33.3%
Net Income Growth Q
63.18%
Net Income Growth3 Y
13.91%
Net Income Growth5 Y
4.83%
Pretax Margin
8.42%
Profit Margin
6.06%
Profit Per Employee
CZK 610,971
ROA
1.73
Roa5y
1.25
ROCE
3.37
ROE
12.36
Roe5y
9.56
ROIC
11.07
Roic5y
8.75

Growth

Revenue, earnings, cash-flow, and forward growth indicators.

22
MetricValue
Cagr10y
17.07%
Cagr15y
7.67%
Cagr1y
56.9%
Cagr3y
44.05%
Cagr5y
28.23%
Div CAGR10
0.03%
Div CAGR3
7.72%
Div CAGR5
4.31%
EPS Growth
33.71
EPS Growth Q
63.18
EPS Growth3 Y
13.91
EPS Growth5 Y
4.83
FCF Growth
418.76%
FCF Growth Q
145.38%
OCF Growth
143.39%
OCF Growth Q
39.2%
OCF Growth10 Y
10.49%
OCF Growth3 Y
90.98%
Revenue Growth
8.6x
Revenue Growth Q
8.29x
Revenue Growth3 Y
5.51x
Revenue Growth5 Y
5.07x

Financial strength

Debt, cash, solvency, accounting-quality, and balance-sheet signals.

18
MetricValue
Asset Turnover
CZK 0.26
Assets
CZK 1.3T
Cash
CZK 335.7B
Debt
CZK 58.3B
Debt EBITDA
CZK 1.35
Debt Equity
CZK 0.33
Debt FCF
CZK 3.81
Equity
CZK 177.1B
Interest Coverage
19.41
Liabilities
CZK 1.1T
Net Cash
CZK -25.3B
Net Cash By Market Cap
CZK -12.13
Net Debt EBITDA
CZK 0.6
Net Debt Equity
CZK 0.14
Net Debt FCF
CZK 1.65
Tangible Book Value
CZK 127.4B
Tangible Book Value Per Share
CZK 939
WACC
5.75

Liquidity

Current-asset coverage and working-capital efficiency metrics.

4
MetricValue
Current ratio
1.59
Net Working Capital
CZK 129.9B
Quick ratio
1.37
Working Capital
CZK 158.7B

Dividends and buybacks

Dividend yield, payout, buybacks, and shareholder-yield indicators.

9
MetricValue
Dividend Growth
11.51%
Dividend Growth Years
2%
Dividend per share
CZK 38.52
Dividend Years
18
Dividend Yield
2.35%
Ex Div Date
2025-05-26
Last Dividend
CZK 38.52
Payout Frequency
Annual
Payout Ratio
26.64%

Performance and technicals

Returns, volatility, beta, momentum, RSI, and moving-average context.

37
MetricValue
10Y total return
383.36%
1Y total return
56.86%
200-day SMA
1,344.7
3Y total return
198.96%
50-day SMA
1,552.3
50-day SMA vs 200-day SMA
50over200
5Y total return
246.66%
All Time High
1,660
All Time High Change
-1.39%
All Time High Date
2026-01-06
All Time Low
208.6
All Time Low Change
684.71%
All Time Low Date
2008-10-27
ATR
37.48
Beta
0.45
Ch YTD
0.55
High
1,642
High52
1,660
High52 Date
2026-01-07
High52ch
-1.39%
Low
1,629
Low52
1,040
Low52 Date
2025-06-25
Low52ch
57.4%
Ma50ch
5.45%
Price vs 200-day SMA
21.73%
RSI
63.45
RSI Monthly
79.69
RSI Weekly
63.57
Sharpe ratio
1.66x
Sortino ratio
3.21
Total Return
2.35%
Tr YTD
0.55
Tr15y
203.11%
Tr1m
8.63%
Tr1w
4.94%
Tr3m
2.44%

Analyst estimates

Ratings, targets, revisions, and forward estimate fields.

2
MetricValue
Operating Income
CZK 35.3B
Operating margin
10.59

Ownership and float

Institutional, insider, float, short-interest, and share-count fields.

4
MetricValue
Float
35,238,400%
Net Borrowing
538,062,790.9
Shares Institutions
8.54%
Shares Qo Q
0%

Other indicators

Additional ticker metrics that do not fit the primary research groupings yet.

59
MetricValue
Adjusted FCF
CZK 15.3B
Average Volume
3,480.7x
Bv Per Share
1,296.7
CAPEX
CZK -5B
Ch10y
216.3
Ch15y
67.95
Ch1m
8.63
Ch1w
4.94
Ch1y
51.57
Ch3m
2.44
Ch3y
161.9
Ch5y
178.4
Ch6m
51.02
Change
0.8%
Change From Open
0.49
Close
1,624
Days Gap
0.31
Dollar Volume
13,711,512
Earnings Date
2026-04-28
EBIT
CZK 35.3B
EBITDA
CZK 42.1B
EPS
CZK 156
F Score
5
FCF
CZK 15.3B
FCF EV Yield
6.45x
Financing CF
-6,329,945,571
Fiscal Year End
December
Founded
1,824
Goodwill
28,943,027,603
Graham Number
2217.28214
Graham Upside
35.45
Income Tax
CZK 7.3B
Investing CF
-22,782,794,092
Is Primary Listing
0
Last Earnings Date
2026-04-28
Last Report Date
2025-12-31
Lynch Fair Value
CZK 785
Lynch Upside
-52.04
Ma150
1,420.2
Ma150ch
15.26%
Ma20
1,584.4
Ma20ch
3.32%
Net CF
-9,110,160,937
Next Earnings Date
2026-05-28
Open
1,629
P FCF Ratio
13.59
P OCF Ratio
10.24
Payment Date
2025-05-28
Position In Range
61.54
Ppne
21,337,138,065.3
Price Date
2026-05-07
Price EBITDA
CZK 4.95
Ptbv Ratio
1.64
Relative Volume
2.41x
Revenue
333,003,850,099x
Tax By Revenue
2.2x
Tax Rate
26.09%
Tr6m
51.02%
Volume
8,376
Fast facts

Decision checkpoints

A compact product layer over the same report payload.

Risk gate
n/a
Named kill scenarios are reviewed before any bullish rating can stand.
Moat score
n/a
Business quality stays separate from stock attractiveness.
Forward P/E
n/a
Valuation uses the full report model stack, not a single multiple.
Next action
Research pending
Final action steps are kept in the recommendation tab.
Income

PRA/VIG dividend yield, growth & safety

Yield, payout sustainability, and the multi-year growth streak.

Dividend yield
+2.4%
$38.5 annual per share
Payout ratio
+26.6%
Share of earnings returned as dividends. Below 60% is generally sustainable.
5Y dividend CAGR
+4.3%
2 consecutive years of growth
Total shareholder yield
+2.4%
Next ex-dividend date: 2025-05-26
Performance

PRA/VIG stock returns vs the market

Total return (incl. dividends) compared to S&P 500.

1Y total return
+56.9%
S&P 500 1Y: n/a
3Y total return
+199.0%
S&P 500 3Y: n/a
5Y total return
+246.7%
S&P 500 5Y: n/a
10Y total return
+383.4%
S&P 500 10Y: n/a
Ownership

Who owns PRA/VIG?

Insider, institutional, and short-interest positioning.

Institutional ownership
+8.5%
Share of float held by funds and institutions
Insider ownership
n/a
Stake held by company insiders. Higher generally signals alignment.
Short interest
n/a
Float sold short by bearish positioning
Y/Y dilution
n/a
Negative means the company is buying back shares.
Technical

PRA/VIG momentum and risk profile

RSI, moving-average stack, beta, and risk-adjusted return.

RSI (14)
63.5
Neutral momentum band
Price vs 200-day MA
+21.7%
50/200-day relationship not available
Beta (5Y)
0.45
Less volatile than the market
Sharpe ratio
1.66
Risk-adjusted return — higher is better; >1.0 is solid.
Questions

About PRA/VIG

Hub-level FAQ points readers to the deeper analysis pages.

What is the current pra/VIG stock rating?

pra/VIG is currently shown with the latest rating in the latest report. The hub links directly to the full analysis surface where the rating, fair-value bridge, risks, and scorecard are documented together.

Where can I read the full pra/VIG analysis?

The full report lives at /stocks/pra/VIG/analysis. The bare ticker page is a product hub that summarizes the latest read and sends readers into the relocated analysis tabs without making the analysis surface depend on the hub.

What fair-value range is used for pra/VIG?

The latest report frames pra/VIG around the latest fair-value range. Treat that range as the entry point, then check the valuation, sensitivity, and bear-case tabs before making an investment decision.

How often is the pra/VIG page updated?

The hub updates with the latest published stock report and live backend market data. The analysis pages remain reachable under /analysis, so a hub rollback does not remove the report reader.