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BNT – Brookfield Wealth Solutions Ltd

BNT — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

1.16

Margin Of Safety %

25

Put/Call OI Ratio

1.55

EPS Next Q Diff

EPS Last/This Y

EPS This/Next Y

Price

41.94

Target Price

Analyst Recom

Performance Q

-14.42

Upside

N/A

Beta

1.65

Ticker: BNT




20 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-03-09BNT41.91.48999.99902
2026-03-10BNT43.411.491.00905
2026-03-11BNT42.211.48999.99907
2026-03-12BNT40.951.513.00917
2026-03-13BNT40.81.513.00917
2026-03-17BNT42.551.51999.99923
2026-03-18BNT41.821.51999.99923
2026-03-19BNT41.671.51999.99923
2026-03-20BNT40.661.530.00927
2026-03-23BNT41.121.533.00927
2026-03-24BNT40.821.53999.99929
2026-03-25BNT41.611.541.00931
2026-03-26BNT41.221.540.00933
2026-03-27BNT40.651.540.00933
2026-03-30BNT40.351.53999.99934
2026-03-31BNT41.451.53999.99934
2026-04-01BNT41.951.54999.99936
2026-04-02BNT421.54999.99937
2026-04-06BNT42.141.55999.99941
2026-04-07BNT41.971.55999.99941
DateSymbolLatestP/C OIP/C VolTotal OI
20 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-03-09BNT42.19- - -
2026-03-10BNT43.43- - -
2026-03-11BNT42.28- - -
2026-03-12BNT40.85- - -
2026-03-13BNT40.62- - -
2026-03-17BNT42.53- - -
2026-03-18BNT41.79- - -
2026-03-19BNT41.60- - -
2026-03-20BNT40.71- - -
2026-03-23BNT41.12- - -
2026-03-24BNT40.71- - -
2026-03-25BNT41.39- - -
2026-03-26BNT41.28- - -
2026-03-27BNT40.56- - -
2026-03-30BNT40.28- - -
2026-03-31BNT41.39- - -
2026-04-01BNT41.78- - -
2026-04-02BNT42.11- - -
2026-04-06BNT42.16- - -
2026-04-07BNT41.94- - -
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-03-09BNT002.16
2026-03-10BNT002.16
2026-03-11BNT001.70
2026-03-12BNT001.70
2026-03-13BNT001.70
2026-03-17BNT001.70
2026-03-18BNT001.70
2026-03-19BNT001.70
2026-03-20BNT001.70
2026-03-23BNT001.70
2026-03-24BNT001.70
2026-03-25BNT002.19
2026-03-26BNT002.19
2026-03-27BNT002.19
2026-03-30BNT0.0001.22
2026-03-31BNT0.0001.22
2026-04-01BNT0.0001.22
2026-04-02BNT0.0001.22
2026-04-06BNT0.000.061.16
2026-04-07BNT0.000.061.16
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

Avg. EPS Est. Next Quarter

Insider Transactions

Institutional Transactions

0.06

Beta

1.65

Average Sales Estimate Current Quarter

Average Sales Estimate Next Quarter

Fair Value

52.27

Quality Score

59

Growth Score

46

Sentiment Score

66

Actual DrawDown %

15.9

Max Drawdown 5-Year %

Target Price

P/E

Forward P/E

PEG

P/S

0.98

P/B

0.65

P/Free Cash Flow

4.49

EPS

Average EPS Est. Cur. Y​

EPS Next Y. (Est.)

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

6.45

Relative Volume

0.63

Return on Equity vs Sector %

-7.2

Return on Equity vs Industry %

-5.5

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

BNT Financial
$41.95
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
8/20
Pullback
15/25
Volume
9/15
Valuation
7/20
TP/AR
2/10
Options
1/10
RSI
47.6
Range 1M
52.6%
Sup Dist
0%
🚀
Momentum Growth
Ride accelerating trends
N/A
15 /100
WEAK
Momentum
4/25
Growth
4/30
Estimates
2/20
Inst/Vol
3/15
Options
2/10
EPS Yr
0%
EPS NY
0%
52W%
62%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟡 HOLD +24.6% upside
Quality
4/30
Valuation
12/30
Growth
0/25
Stability
3/10
LT Trend
2/5
Upside
+24.6%
Quality
59
MoS
25%
Brookfield Wealth Solutions Ltd
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 4000
Brookfield Wealth Solutions Ltd., through its subsidiaries, provides retirement services, wealth protection products, and capital solutions to individuals and institutions. It operates through Annuities, Property and Casualty (P&C), Life Insurance segments. The Annuities segment offers retail and institutional annuities, including fixed index, fixed rate, single premium immediate, and variable annuities, as well as pension risk transfer. The P&C segment provides specialty casualty, construction defect, general liability, commercial multi-peril, workers compensation, product and environmental liability, and auto liability. The Life Insurance segment offers whole life, universal life, and variable universal life insurance products. It also offers garage and inland marine insurance programs. The company was formerly known as Brookfield Reinsurance Ltd. and changed its name to Brookfield Wealth Solutions Ltd. in September 2024. Brookfield Wealth Solutions Ltd. was incorporated in 2020 and is headquartered in Pembroke, Bermuda.
BNT

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ACGL – Arch Capital Group Ltd.

ACGL — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

1.53

Margin Of Safety %

5

Put/Call OI Ratio

1.02

EPS Next Q Diff

-0.49

EPS Last/This Y

-2.45

EPS This/Next Y

0.73

Price

96.91

Target Price

109.25

Analyst Recom

2.13

Performance Q

2.63

Upside

163.8%

Beta

0.41

Ticker: ACGL




16 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-03-09ACGL95.631.071.923721
2026-03-10ACGL96.181.101.833702
2026-03-11ACGL94.81.110.363743
2026-03-12ACGL94.221.151.533751
2026-03-13ACGL94.221.151.533751
2026-03-17ACGL94.421.080.383674
2026-03-18ACGL92.871.081.063695
2026-03-20ACGL92.320.880.973369
2026-03-25ACGL93.320.901.122280
2026-03-26ACGL94.130.963.862405
2026-03-27ACGL93.420.961.062445
2026-03-30ACGL95.620.900.052490
2026-03-31ACGL95.980.440.054111
2026-04-01ACGL95.520.509.013831
2026-04-06ACGL96.761.030.435135
2026-04-07ACGL96.91.020.255180
DateSymbolLatestP/C OIP/C VolTotal OI
16 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-03-09ACGL95.6560.2- 9.38
2026-03-10ACGL96.1560.2- 9.38
2026-03-11ACGL94.8160.2- 9.38
2026-03-12ACGL94.2360.1- 9.37
2026-03-13ACGL93.4860.1- 9.37
2026-03-17ACGL94.4160.1- 9.37
2026-03-18ACGL92.8860.1- 9.37
2026-03-19ACGL92.1660.1- 9.37
2026-03-20ACGL92.3060.1- 9.37
2026-03-23ACGL93.6960.1- 9.37
2026-03-24ACGL93.5760.1- 9.37
2026-03-25ACGL93.3360.4- 9.38
2026-03-26ACGL94.1460.4- 9.38
2026-03-27ACGL93.4260.4- 9.38
2026-03-30ACGL95.6360.4- 9.38
2026-03-31ACGL95.9860.4- 9.38
2026-04-01ACGL95.5360.4- 9.38
2026-04-02ACGL96.7760.4- 9.38
2026-04-06ACGL96.7760.4- 9.38
2026-04-07ACGL96.9160.4- 9.38
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-03-09ACGL-2.14-1.691.63
2026-03-10ACGL-2.14-1.691.63
2026-03-11ACGL-2.14-1.691.59
2026-03-12ACGL-2.38-1.691.59
2026-03-13ACGL-2.38-1.691.59
2026-03-17ACGL-2.38-1.681.59
2026-03-18ACGL-2.38-1.681.59
2026-03-19ACGL-2.38-1.681.59
2026-03-20ACGL-2.38-1.681.59
2026-03-23ACGL-2.38-1.701.59
2026-03-24ACGL-2.38-1.701.59
2026-03-25ACGL-2.38-1.701.53
2026-03-26ACGL-2.38-1.701.53
2026-03-27ACGL-2.38-1.701.53
2026-03-30ACGL-2.38-1.701.53
2026-03-31ACGL-2.38-1.701.53
2026-04-01ACGL-2.38-1.701.53
2026-04-02ACGL-2.38-1.701.53
2026-04-06ACGL-2.38-1.701.53
2026-04-07ACGL-2.38-1.701.53
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

2.98

Avg. EPS Est. Current Quarter

2.47

Avg. EPS Est. Next Quarter

2.49

Insider Transactions

-2.38

Institutional Transactions

-1.7

Beta

0.41

Average Sales Estimate Current Quarter

4554

Average Sales Estimate Next Quarter

4395

Fair Value

101.69

Quality Score

90

Growth Score

97

Sentiment Score

94

Actual DrawDown %

16.8

Max Drawdown 5-Year %

-22.4

Target Price

109.25

P/E

8.34

Forward P/E

9.55

PEG

3.1

P/S

1.78

P/B

1.49

P/Free Cash Flow

5.63

EPS

11.62

Average EPS Est. Cur. Y​

9.38

EPS Next Y. (Est.)

10.11

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

22.44

Relative Volume

0.86

Return on Equity vs Sector %

6.6

Return on Equity vs Industry %

8.3

EPS 1 7Days Diff

EPS 1 30Days Diff

0.01

EBIT Estimation

ACGL Financial
$96.92
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
12/20
Pullback
14/25
Volume
7/15
Valuation
14/20
TP/AR
1/10
Options
2/10
RSI
57.2
Range 1M
91.4%
Sup Dist
0.8%
🚀
Momentum Growth
Ride accelerating trends
N/A
32 /100
WEAK
Momentum
6/25
Growth
12/30
Estimates
6/20
Inst/Vol
2/15
Options
6/10
EPS Yr
-4.8%
EPS NY
8%
52W%
69.4%
💎
Long-Term Value
Quality companies, undervalued
55 /100
WATCH
🟢 BUY +68.8% upside
Quality
19/30
Valuation
18/30
Growth
10/25
Stability
5/10
LT Trend
3/5
Upside
+68.8%
Quality
90
MoS
5%
Arch Capital Group Ltd.
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 8000
Arch Capital Group Ltd., together with its subsidiaries, provides insurance, reinsurance, and mortgage insurance products in the United States, Canada, Bermuda, the United Kingdom, Europe, and Australia. The company operates through three segments: Insurance, Reinsurance, and Mortgage. The Insurance segment offers commercial automobile; commercial multiperil; financial and professional line liability; admitted, excess, and surplus casualty lines; property and short-tail specialty; workers compensation; and casualty insurance. Its Reinsurance segment provides reinsurance products for casualty; marine and aviation; property catastrophe; property excluding property catastrophe; and other specialty products. The Mortgage segment offers U.S. primary mortgage insurance business written predominantly on loans sold to the Federal National Mortgage Association and Federal Home Loan Mortgage Corporation; reinsurance and underwriting services related to the U.S. credit-risk transfer business and other U.S. mortgage reinsurance transactions; and international mortgage insurance and reinsurance business covering loans. It markets its products through a group of licensed independent retail and wholesale brokers. The company was formerly known as Risk Capital Holdings, Inc. Arch Capital Group Ltd. was founded in 1995 and is headquartered in Pembroke, Bermuda.
ACGL

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ticker ACGL fair value insiders trading

ACGLN – Arch Capital Group Ltd.ACGLN –

ACGLN — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

Margin Of Safety %

Put/Call OI Ratio

EPS Next Q Diff

EPS Last/This Y

EPS This/Next Y

Price

16.6

Target Price

90.75

Analyst Recom

Performance Q

-6.41

Upside

N/A

Beta

0.53

Ticker: ACGLN




16 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-03-09ACGLN17.08N/AN/A0
2026-03-10ACGLN17.14N/AN/A0
2026-03-11ACGLN17.2N/AN/A0
2026-03-12ACGLN17.24N/AN/A0
2026-03-13ACGLN17.21N/AN/A0
2026-03-17ACGLN17.04N/AN/A0
2026-03-18ACGLN16.97N/AN/A0
2026-03-20ACGLN16.51N/AN/A0
2026-03-25ACGLN16.6N/AN/A0
2026-03-26ACGLN16.47N/AN/A0
2026-03-27ACGLN16.54N/AN/A0
2026-03-30ACGLN16.62N/AN/A0
2026-03-31ACGLN16.4N/AN/A0
2026-04-01ACGLN16.57N/AN/A0
2026-04-06ACGLN16.65N/AN/A0
2026-04-07ACGLN16.68N/AN/A0
DateSymbolLatestP/C OIP/C VolTotal OI
16 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-03-09ACGLN17.09- - -
2026-03-10ACGLN17.15- - -
2026-03-11ACGLN17.19- - -
2026-03-12ACGLN17.21- - -
2026-03-13ACGLN17.00- - -
2026-03-17ACGLN17.04- - -
2026-03-18ACGLN16.93- - -
2026-03-19ACGLN16.90- - -
2026-03-20ACGLN16.50- - -
2026-03-23ACGLN16.70- - -
2026-03-24ACGLN16.51- - -
2026-03-25ACGLN16.61- - -
2026-03-26ACGLN16.56- - -
2026-03-27ACGLN16.56- - -
2026-03-30ACGLN16.63- - -
2026-03-31ACGLN16.41- - -
2026-04-01ACGLN16.58- - -
2026-04-02ACGLN16.55- - -
2026-04-06ACGLN16.66- - -
2026-04-07ACGLN16.60- - -
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




No data found

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

Avg. EPS Est. Next Quarter

Insider Transactions

Institutional Transactions

Beta

0.53

Average Sales Estimate Current Quarter

Average Sales Estimate Next Quarter

Fair Value

Quality Score

Growth Score

Sentiment Score

Actual DrawDown %

38

Max Drawdown 5-Year %

Target Price

90.75

P/E

4.01

Forward P/E

PEG

P/S

2.43

P/B

0.51

P/Free Cash Flow

EPS

4.69

Average EPS Est. Cur. Y​

EPS Next Y. (Est.)

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

Relative Volume

0.25

Return on Equity vs Sector %

Return on Equity vs Industry %

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

Arch Capital Group Ltd. - Depos
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 8000
Arch Capital Group Ltd., together with its subsidiaries, provides insurance, reinsurance, and mortgage insurance products in the United States, Canada, Bermuda, the United Kingdom, Europe, and Australia. The company operates through three segments: Insurance, Reinsurance, and Mortgage. The Insurance segment offers commercial automobile; commercial multiperil; financial and professional line liability; admitted, excess, and surplus casualty lines; property and short-tail specialty; workers compensation; and casualty insurance. Its Reinsurance segment provides reinsurance products for casualty; marine and aviation; property catastrophe; property excluding property catastrophe; and other specialty products. The Mortgage segment offers U.S. primary mortgage insurance business written predominantly on loans sold to the Federal National Mortgage Association and Federal Home Loan Mortgage Corporation; reinsurance and underwriting services related to the U.S. credit-risk transfer business and other U.S. mortgage reinsurance transactions; and international mortgage insurance and reinsurance business covering loans. It markets its products through a group of licensed independent retail and wholesale brokers. The company was formerly known as Risk Capital Holdings, Inc. Arch Capital Group Ltd. was founded in 1995 and is headquartered in Pembroke, Bermuda.
ACGLN

Latest News

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ticker ACGLN fair value insiders trading

BRK-B – Berkshire Hathaway Inc.

BRK-B — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.86

Margin Of Safety %

Put/Call OI Ratio

EPS Next Q Diff

EPS Last/This Y

EPS This/Next Y

Price

478.08

Target Price

530.67

Analyst Recom

2.38

Performance Q

-4.1

Upside

-15.6%

Beta

0.7

Ticker: BRK-B




No data found




No data found




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-03-09BRK-B0.00-0.000.77
2026-03-10BRK-B0.00-0.000.77
2026-03-11BRK-B0.00-0.000.85
2026-03-12BRK-B0.00-0.000.85
2026-03-13BRK-B0.00-0.000.85
2026-03-17BRK-B0.000.000.85
2026-03-18BRK-B0.000.000.85
2026-03-19BRK-B0.000.000.85
2026-03-20BRK-B0.000.000.85
2026-03-23BRK-B0.000.000.85
2026-03-24BRK-B0.000.000.85
2026-03-25BRK-B0.000.000.86
2026-03-26BRK-B0.000.000.86
2026-03-27BRK-B0.000.000.86
2026-03-30BRK-B0.000.000.86
2026-03-31BRK-B0.000.000.86
2026-04-01BRK-B0.000.000.86
2026-04-02BRK-B0.000.000.86
2026-04-06BRK-B0.000.000.86
2026-04-07BRK-B0.000.000.86
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

Avg. EPS Est. Next Quarter

Insider Transactions

Institutional Transactions

Beta

0.7

Average Sales Estimate Current Quarter

Average Sales Estimate Next Quarter

Fair Value

Quality Score

Growth Score

Sentiment Score

Actual DrawDown %

Max Drawdown 5-Year %

Target Price

530.67

P/E

15.4

Forward P/E

22.2

PEG

5.83

P/S

2.78

P/B

1.44

P/Free Cash Flow

41.2

EPS

31.04

Average EPS Est. Cur. Y​

EPS Next Y. (Est.)

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

18.03

Relative Volume

0.65

Return on Equity vs Sector %

Return on Equity vs Industry %

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

BRK-B Financial
$478.08
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
0/20
Pullback
7/25
Volume
6/15
Valuation
7/20
TP/AR
1/10
Options
0/10
RSI
43.3
🚀
Momentum Growth
Ride accelerating trends
N/A
4 /100
WEAK
Momentum
0/25
Growth
4/30
Estimates
0/20
Inst/Vol
0/15
Options
0/10
EPS Yr
0.2%
EPS NY
4.3%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🔴 SELL -28.6% upside
Quality
3/30
Valuation
0/30
Growth
2/25
Stability
5/10
LT Trend
0/5
Upside
-28.6%
Berkshire Hathaway Inc. New
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 387800
Berkshire Hathaway Inc., together with its subsidiaries, engages in the insurance, freight rail transportation, and utility businesses. The company provides property, casualty, life, accident, and health insurance and reinsurance; operates railroad systems in North America; generates, transmits, stores, and distributes electricity from natural gas, coal, wind, solar, hydroelectric, nuclear, and geothermal sources; operates natural gas distribution and storage facilities, interstate pipelines, liquefied natural gas facilities, and compressor and meter stations; and holds interest in coal mining assets. It manufactures boxed chocolates and other confectionery products; specialty chemicals, metal cutting tools, and components for aerospace and power generation applications; prefabricated and site-built residential homes, flooring products; insulation, roofing, and engineered products; building and engineered components; paints and coatings; and bricks and masonry products, as well as offers manufactured and site-built home construction, and related lending and financial services. In addition, the company provides recreational vehicles, apparel, footwear, toys, jewelry, custom picture framing products, alkaline batteries, logistics services, and professional aviation training and shared aircraft ownership programs; castings, forgings, fasteners/fastener systems, aerostructures, and precision components; and cobalt, nickel, and titanium alloys. Further, it distributes televisions and information, and grocery and non-food consumer products; franchises and services quick service restaurants; and distributes electronic components. Additionally, it retails automobiles; furniture, bedding, and accessories; household appliances, electronics, and floor coverings; watches, home decor and repair services; sells kitchenware; and motorcycle clothing and equipment. The company was incorporated in 1998 and is headquartered in Omaha, Nebraska.
BRK-B

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BRK-A – Berkshire Hathaway Inc.

BRK-A — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.04

Margin Of Safety %

Put/Call OI Ratio

EPS Next Q Diff

EPS Last/This Y

EPS This/Next Y

Price

716880

Target Price

795612.21

Analyst Recom

2.38

Performance Q

-4.19

Upside

-15.6%

Beta

0.69

Ticker: BRK-A




No data found




No data found




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-03-09BRK-A0.00-0.110.07
2026-03-10BRK-A0.00-0.110.07
2026-03-11BRK-A0.00-0.110.05
2026-03-12BRK-A0.00-0.110.05
2026-03-13BRK-A0.00-0.110.05
2026-03-17BRK-A0.000.110.05
2026-03-18BRK-A0.000.110.05
2026-03-19BRK-A0.000.110.05
2026-03-20BRK-A0.000.110.05
2026-03-23BRK-A0.000.110.05
2026-03-24BRK-A0.000.110.05
2026-03-25BRK-A0.000.110.04
2026-03-26BRK-A0.000.110.04
2026-03-27BRK-A0.000.110.04
2026-03-30BRK-A0.000.110.04
2026-03-31BRK-A0.000.110.04
2026-04-01BRK-A0.000.110.04
2026-04-02BRK-A0.000.110.04
2026-04-06BRK-A0.000.160.04
2026-04-07BRK-A0.000.160.04
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

Avg. EPS Est. Next Quarter

Insider Transactions

Institutional Transactions

0.16

Beta

0.69

Average Sales Estimate Current Quarter

Average Sales Estimate Next Quarter

Fair Value

Quality Score

Growth Score

Sentiment Score

Actual DrawDown %

Max Drawdown 5-Year %

Target Price

795612.21

P/E

15.4

Forward P/E

22.2

PEG

5.83

P/S

2.77

P/B

1.44

P/Free Cash Flow

41.07

EPS

46563.01

Average EPS Est. Cur. Y​

EPS Next Y. (Est.)

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

18.03

Relative Volume

0.22

Return on Equity vs Sector %

Return on Equity vs Industry %

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

BRK-A Financial
$716,880.00
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
0/20
Pullback
7/25
Volume
8/15
Valuation
7/20
TP/AR
1/10
Options
0/10
RSI
42.3
🚀
Momentum Growth
Ride accelerating trends
N/A
6 /100
WEAK
Momentum
0/25
Growth
4/30
Estimates
0/20
Inst/Vol
2/15
Options
0/10
EPS Yr
0.2%
EPS NY
4.3%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🔴 SELL -28.6% upside
Quality
3/30
Valuation
0/30
Growth
2/25
Stability
6/10
LT Trend
0/5
Upside
-28.6%
Berkshire Hathaway Inc.
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 387800
Berkshire Hathaway Inc., together with its subsidiaries, engages in the insurance, freight rail transportation, and utility businesses. The company provides property, casualty, life, accident, and health insurance and reinsurance; operates railroad systems in North America; generates, transmits, stores, and distributes electricity from natural gas, coal, wind, solar, hydroelectric, nuclear, and geothermal sources; operates natural gas distribution and storage facilities, interstate pipelines, liquefied natural gas facilities, and compressor and meter stations; and holds interest in coal mining assets. It manufactures boxed chocolates and other confectionery products; specialty chemicals, metal cutting tools, and components for aerospace and power generation applications; prefabricated and site-built residential homes, flooring products; insulation, roofing, and engineered products; building and engineered components; paints and coatings; and bricks and masonry products, as well as offers manufactured and site-built home construction, and related lending and financial services. In addition, the company provides recreational vehicles, apparel, footwear, toys, jewelry, custom picture framing products, alkaline batteries, logistics services, and professional aviation training and shared aircraft ownership programs; castings, forgings, fasteners/fastener systems, aerostructures, and precision components; and cobalt, nickel, and titanium alloys. Further, it distributes televisions and information, and grocery and non-food consumer products; franchises and services quick service restaurants; and distributes electronic components. Additionally, it retails automobiles; furniture, bedding, and accessories; household appliances, electronics, and floor coverings; watches, home decor and repair services; sells kitchenware; and motorcycle clothing and equipment. The company was incorporated in 1998 and is headquartered in Omaha, Nebraska.
BRK-A

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ticker BRK-A fair value insiders trading

SLF – Sun Life Financial Inc.

SLF — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.4

Margin Of Safety %

-13

Put/Call OI Ratio

0.26

EPS Next Q Diff

0.54

EPS Last/This Y

EPS This/Next Y

0.69

Price

63.9

Target Price

71.03

Analyst Recom

2.24

Performance Q

0.65

Upside

51.2%

Beta

0.84

Ticker: SLF




20 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-03-09SLF63.480.720.00277
2026-03-10SLF63.560.71999.99273
2026-03-11SLF63.580.71999.99273
2026-03-12SLF62.850.711.33274
2026-03-13SLF62.860.711.33274
2026-03-17SLF64.010.751.40283
2026-03-18SLF63.350.751.40283
2026-03-19SLF62.580.77999.99294
2026-03-20SLF62.120.690.57280
2026-03-23SLF63.150.910.14214
2026-03-24SLF63.040.840.00228
2026-03-25SLF62.780.810.00232
2026-03-26SLF62.530.773.00239
2026-03-27SLF61.370.790.06241
2026-03-30SLF61.940.640.25276
2026-03-31SLF62.560.660.19279
2026-04-01SLF62.940.630.01300
2026-04-02SLF63.410.230.09672
2026-04-06SLF63.530.260.00648
2026-04-07SLF63.90.260.00645
DateSymbolLatestP/C OIP/C VolTotal OI
20 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-03-09SLF63.453.9- 7.91
2026-03-10SLF63.583.9- 7.90
2026-03-11SLF63.573.9- 7.90
2026-03-12SLF62.863.9- 7.90
2026-03-13SLF62.723.9- 7.90
2026-03-17SLF64.003.9- 7.90
2026-03-18SLF63.373.9- 7.90
2026-03-19SLF62.583.9- 7.90
2026-03-20SLF62.073.9- 7.90
2026-03-23SLF63.143.9- 7.90
2026-03-24SLF63.013.9- 7.90
2026-03-25SLF62.783.9- 7.90
2026-03-26SLF62.543.9- 7.90
2026-03-27SLF61.393.9- 7.90
2026-03-30SLF61.943.9- 7.91
2026-03-31SLF62.563.9- 7.91
2026-04-01SLF62.943.9- 7.91
2026-04-02SLF63.603.9- 7.91
2026-04-06SLF63.533.9- 7.91
2026-04-07SLF63.903.9- 7.91
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-03-09SLF0.00-0.860.83
2026-03-10SLF0.00-0.860.83
2026-03-11SLF0.00-0.861.02
2026-03-12SLF0.00-0.861.02
2026-03-13SLF0.00-0.861.02
2026-03-17SLF0.00-0.791.02
2026-03-18SLF0.00-0.791.02
2026-03-19SLF0.00-0.791.02
2026-03-20SLF0.00-0.791.02
2026-03-23SLF0.00-0.801.02
2026-03-24SLF0.00-0.801.02
2026-03-25SLF0.00-0.800.40
2026-03-26SLF0.00-0.800.40
2026-03-27SLF0.00-0.800.40
2026-03-30SLF0.00-0.800.40
2026-03-31SLF0.00-0.800.40
2026-04-01SLF0.00-0.800.40
2026-04-02SLF0.00-0.800.40
2026-04-06SLF0.00-1.680.40
2026-04-07SLF0.00-1.680.40
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

1.41

Avg. EPS Est. Current Quarter

1.89

Avg. EPS Est. Next Quarter

1.95

Insider Transactions

Institutional Transactions

-1.68

Beta

0.84

Average Sales Estimate Current Quarter

905

Average Sales Estimate Next Quarter

Fair Value

55.32

Quality Score

69

Growth Score

72

Sentiment Score

96

Actual DrawDown %

8.3

Max Drawdown 5-Year %

-30.9

Target Price

71.03

P/E

14.54

Forward P/E

10.08

PEG

1.35

P/S

1.18

P/B

2.18

P/Free Cash Flow

3.62

EPS

4.39

Average EPS Est. Cur. Y​

7.91

EPS Next Y. (Est.)

8.6

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

8.29

Relative Volume

0.55

Return on Equity vs Sector %

2.3

Return on Equity vs Industry %

4

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

SLF Financial
$63.89
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
8/20
Pullback
19/25
Volume
11/15
Valuation
11/20
TP/AR
1/10
Options
6/10
RSI
53.4
Range 1M
83.7%
Sup Dist
1.1%
🚀
Momentum Growth
Ride accelerating trends
N/A
30 /100
WEAK
Momentum
4/25
Growth
12/30
Estimates
4/20
Inst/Vol
2/15
Options
8/10
EPS Yr
6.4%
EPS NY
8.7%
52W%
66.5%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟢 BUY +96.3% upside
Quality
6/30
Valuation
19/30
Growth
8/25
Stability
2/10
LT Trend
3/5
Upside
+96.3%
Quality
69
MoS
-13%
Sun Life Financial Inc.
Sector: Financial Services
Industry: Insurance - Diversified
Employees: 32151
Sun Life Financial Inc., a financial services company, provides asset management, wealth, insurance and health solutions to individual and institutional customers in Canada, the United States, the United Kingdom, Ireland, Hong Kong, the Philippines, Japan, Indonesia, India, China, Australia, Singapore, Vietnam, Malaysia, and Bermuda. It offers various insurance products, such as term and permanent life; personal health, which includes prescription drugs, dental, and vision care; critical illness; long-term care; and disability. The company also provides investments products, such as mutual funds, segregated funds, annuities, and guaranteed investment products; financial planning services; and asset management products, including pooled funds, institutional portfolios and pension funds. The company was formerly known as Sun Life Financial Services of Canada Inc. and changed its name to Sun Life Financial Inc. in July 2003. Sun Life Financial Inc. was founded in 1871 and is headquartered in Toronto, Canada.
SLF

Latest News

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