OTC · Insurance - Diversified

AXA S.A. (AXAHF) Stock

$51.35 +1.14% OTC: AXAHF Financial Services

Headquartered in Paris, France, AXA S.A. is a global financial services enterprise founded in 1852.

Valuation

MetricValue
Price$51.35
Market Cap$105.55B
P/E Ratio11.91
P/B Ratio2.14
P/S Ratio1.15
EPS (TTM)$4.31
52-Week High$51.35
52-Week Low$43.00
Dividend Yield5.30%

Financials & Margins

MetricValue
ROE22.25%
ROA1.54%
ROCE6.20%
Gross Margin135.62%
Operating Margin11.96%
Net Margin12.16%
Debt/Equity1.45
Current Ratio0.10

Annual Financials (USD)

Metric20212022202320242025
Revenue$111.7B$86.8B$87.2B$89.8B$109.2B
Operating Profit$9.7B$7.4B$9.2B$10.0B$10.0B
Net Profit$7.3B$5.1B$7.2B$7.9B$9.8B
EPS$2.97$2.12$3.13$3.50$4.53
Op Margin8.7%8.5%10.6%11.1%9.2%

Balance Sheet (USD)

Metric20212022202320242025
Total Assets$775.5B$696.7B$644.4B$653.8B$635.3B
Total Liabilities$700.3B$648.3B$597.5B$601.3B$585.8B
Cash$25.1B$26.2B$25.4B$19.0B$22.2B
Borrowings$61.8B$63.7B$59.5B$62.1B$15.8B

Latest News

BOE Sees Weather as New Inflation Risk While London Sizzles Bloomberg · Jun 26, 2026 AXA Wins 7 Accolades at Bloomberg Businessweek Financial Institutions Awards 2026 PR Newswire · Jun 26, 2026 AXA Week for Good 2026 Successfully Concludes Harnessing Technology and Community Engagement to Promote Biodiversity and Social Inclusion PR Newswire · Jun 25, 2026 Investor Who Scored 900% Win in 2008 Crisis Has New Big Short Bet Bloomberg · Jun 24, 2026 AIG vs. AXAHY: Which Stock Is the Better Value Option? Zacks · Jun 17, 2026

Cash Flow (USD)

Metric20212022202320242025
Operating Cash Flow$6.5B$7.9B$6.4B$12.5B$21.5B
Investing Cash Flow$-9.3B$-508.0M$-2.0B$-11.7B$-11.1B
Financing Cash Flow$-1.5B$-4.0B$-565.0M$-5.6B$-7.3B
Net Cash Flow$-3.1B$1.3B$-1.1B$-6.4B$5.5B
Free Cash Flow$6.2B$7.5B$6.0B$12.0B$21.0B

Valuation & Return Ratios

MetricValue
PEG Ratio1.33
EV / EBITDA13.03
FCF Yield22.81%
Quick Ratio0.10
Interest Coverage15.37
Return 1Y1.95%
Return 3Y86.77%
Return 5Y155.57%

Ownership

Insiders Held20.61%
Institutions Held40.18%
Institutions Float Held50.61%
Institutional HolderSharesReport Date
Generali Investments Cee, Investicni Spolecnost, A.s.116,0622026-06-30
Pacer Advisors, Inc.20,6312026-03-31
Paradigm Asset Management Company, LLC1,7962026-03-31

Peer Comparison

TickerPriceChangeP/EMarket CapDiv Yield
AAGIYAIA Group Limited $39.44 +0.79% 16.94 $101.61B 3.73%
AAIGFAIA Group Limited $9.88 +6.81% 16.47 $101.82B 3.74%
BBVXFBanco Bilbao Vizcaya Argentaria, S.A. $25.36 -0.20% 11.97 $140.55B 5.60%
IVSBFInvestor AB (publ) $40.40 +0.97% 6.25 $123.75B 0.87%
IVSXFInvestor AB (publ) $40.06 +2.32% 6.25 $122.73B 0.87%

About AXA S.A.

Headquartered in Paris, France, AXA S.A. is a global financial services enterprise founded in 1852. The company, through its numerous subsidiaries, delivers a comprehensive suite of insurance, asset management, and banking services across the globe. Its activities are segmented into key regions like France, Europe, and Asia, alongside specialized units such as AXA XL, International, and Transversal & Central Holdings. AXA's insurance offerings span life and savings products — including retirement, health, and personal protection plans — as well as a wide array of property and casualty coverage. This P&C segment includes policies for vehicles, homes, and professional or personal liability, serving both individual consumers and businesses. Additionally, it provides specialized international insurance for large corporate clients in Europe, along with marine, aviation, and property/casualty reinsurance. Beyond insurance, AXA oversees asset management across diverse classes like equities, bonds, hedge funds, private equity, and real estate, catering to its own insurance divisions, their clients, and external retail and institutional investors.

AXA S.A. is headquartered in FR.

AXA S.A. (AXAHF) stock trades at $51.35 with a market capitalization of $105.55B. The stock is valued at a price-to-earnings (P/E) ratio of 11.91, price-to-book of 2.14, price-to-sales of 1.15. Over the past 52 weeks the stock has ranged between $43.00 and $51.35, and currently trades at its 52-week high. It pays a dividend yielding 5.30%.

On profitability, AXA S.A. generates a return on equity (ROE) of 22.25% — well above the market average, a sign of a high-quality business, return on capital employed of 6.20%, an operating margin of 11.96%, a net profit margin of 12.16%.

In its most recent fiscal year, AXA S.A. reported annual revenue of $109.2B, net profit of $9.8B, revenue has compounded at -0.6% a year over the last five years, profit at 25.4% a year. Profit growing faster than revenue points to expanding margins.

The balance sheet shows a debt-to-equity ratio of 1.45, a current ratio of 0.10, total assets of $635.3B, $22.2B in cash and equivalents.

AXAHF has an average daily trading volume of 6,598 shares, a beta of 0.59 (less volatile than the overall market).

Official website: www.axa.com

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