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Chubb is a premier global P&C insurer with strong underwriting discipline and a robust investment portfolio. While near-term top-line estimates suggest normalization, its scale and disciplined capital allocation support a steady baseline of residual income generation. Fair value range: low $252, high $360, with mid-point at $297.
Stock analysis

CB Chubb Limited fair value $297–$360

CB
By StockMarketAgent.AI team· supervised by
Analiz edildi: 2026-05-10Sonraki güncelleme: 2026-08-10Methodology v2.4Archetype: FinancialNYSE · Financials
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Fiyat
$319.64
▼ -22.50 (-7.04%)
Gerçeğe uygun değer
$297
$297–$360
Tavsiye
Tut
confidence 81/100
Yükseliş potansiyeli
-7.0%
upside to fair value
Güvenlik Marjı
$252.57
buy below · 15%
Piyasa Değeri
$124.0B
P/E fwd 10.9
İngilizce yedekTR
Çeviri yapılırken İngilizce kaynak gösteriliyor
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§1 Yönetici özeti

  • Synthesized fair value of $297.14 anchors on a modeled -16% Year-1 top-line normalization.
  • Valuation heavily weights Forward Earnings (80%) to reflect cycle normalization and cap outlier ROE extrapolation.
  • A premium 15.4% ROE drives residual income upside, demonstrating fundamental business quality.
  • Hold rating is justified by enduring competitive advantages and disciplined capital allocation.
Fair value
$297
Margin of safety
-7.6%
Confidence
81/100
Moat
6.5/10

Educational analysis only — not financial advice. Always do your own due diligence.

$319.64Price
FV $297.14
High $360.26

Chubb is a premier global P&C insurer with strong underwriting discipline and a robust investment portfolio. While near-term top-line estimates suggest normalization, its scale and disciplined capital allocation support a steady baseline of residual income generation.

  • Global scale and underwriting discipline
    Global scale and underwriting discipline
  • Robust investment portfolio and float
    Robust investment portfolio and float management
  • Cycle upside
    Hard market with sustained rate increases and disciplined capacity.

§2 Olumsuz senaryo

A confluence of a rapidly softening P&C pricing cycle and an unexpected spike in severe weather events would rapidly erode book value and severely constrain earnings capacity.

Bu tezin bozulabileceği yollar

Severe Catastrophe Accumulation

· Low

Unprecedented aggregation of natural disaster losses exceeding reinsurance limits and depleting statutory capital.

FV impact
Severe
Trigger
1-2 Years

Prolonged Soft Market

· Medium

Extended period of aggressive rate decreases across commercial P&C lines compressing underwriting margins fundamentally.

FV impact
Moderate
Trigger
2-3 Years

Investment Portfolio Shock

· Low

Sharp interest rate volatility or credit cycle deterioration triggering significant mark-to-market losses on the fixed income portfolio.

FV impact
Moderate
Trigger
1-2 Years
İzlenecek erken uyarı sinyalleri
MetrikMevcutTetikleme eşiği
Combined ratio trending above 100% for two consecutive quarters.MonitorDeterioration versus the report thesis
Accelerating rate decreases in key commercial property and casualty lines.MonitorDeterioration versus the report thesis
Unexpectedly large reserve additions for prior accident years.MonitorDeterioration versus the report thesis
Meaningful decline in net investment income yields.MonitorDeterioration versus the report thesis
Substantial loss of market share to aggressively pricing peers.MonitorDeterioration versus the report thesis

§3 Mali geçmiş

Gelir tablosu — son altı dönem
KalemT−0T−1T−2T−3T−4CAGR
Dönem2021-12-312022-12-312023-12-312024-12-312025-12-31Trend
Gelir$40.77B$43.06B$49.83B$56.01B$59.78B+10.0%
Brüt kâr
Faaliyet kârı
Net kâr$8.53B$5.25B$9.03B$9.27B$10.31B+4.9%
EPS (sulandırılmış)$19.27$12.55$21.80$22.51$25.68+7.4%
EBITDA
R&D
SG&A$3.14B$3.40B$4.01B$4.38B$4.50B+9.5%

Kalite puanları

OCF / Net kâr
1.24×
>1 yüksek kazanç kalitesini gösterir
Muhasebe kalitesi kapısı
Pass
Sektöre göre ayarlanmış kapı
ROIC
12.0%
Yatırılan sermaye getirisi
Bölüm 3

Numbers analysis

Bireysel aboneler — §4 ve sonrası11 bölüm daha

Tam analizi okuyun — 11 bölüm daha.

Competitive moat, industry cycle, peer comparison, intrinsic valuation, sensitivity, scenarios, earnings decision tree, position management, investor perspectives, scorecard, and final recommendation.

Kapsanan her sembol için tam rapor
24 ay tavsiye arşivi
İzleme listesi brifingleri + tavsiye değişiklik uyarıları
Herhangi bir dilde PDF + DOCX dışa aktarma
Ücretsiz denemeyi başlat
İstediğin zaman iptal edebilirsin.
FAQ

CB — frequently asked questions

  1. Based on our latest analysis, CB screens modestly overvalued. The current price is $320 versus a composite fair-value midpoint of $297 (range $252–$360), which implies roughly 7.0% downside to the midpoint.
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