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Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München (MUV2.DE) Stock Analysis

Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München · MUV2.DE

55 /100
Profitability100
Growth50
Valuation38
Momentum68
Risk18
Today's score, computed by the 6-pillar engine · for each pillar, higher = better (risk included) · based on 5/6 pillars

What the analysis says

As of the latest run, Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München (MUV2.DE) scores 55/100 overall — a decent but mixed profile. Its strongest dimension: profitability (100/100); the one that most warrants attention: risk control (18/100).

Pillar marked “not applicable” for this profile: financial health — typical of financials, whose balance sheet follows its own logic; the overall score is built on the remaining pillars.

Three pillars judge the company (profitability, growth, financial health), three judge the stock (valuation, momentum, risk). The score is recomputed every day from Yahoo Finance market data — the one shown above reflects today's state.

Strengths

Profitability comes in at 100/100 — above-average margins and return on capital. Momentum comes in at 68/100 — a well-oriented price trend.

The breakdown of each pillar — and a plain-English explanation of what it measures — is available in the full analysis, free and updated every day.

Points to watch

The risk pillar falls to 18/100 — high volatility — the stock swings hard, both ways. Valuation falls to 38/100 — a stretched price relative to the stock's own valuation history.

No score replaces your own judgment: Stock Analyzer is a tool for analysis and understanding, not investment advice.

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