SCOR SE
Stock Details
Is it expensive?
Market Cap
5.46B
Trailing P/E Ratio
6.47
Forward P/E Ratio
6.78
PEG Ratio
0.00
7.22B
5.06
Price-to-Sales (TTM)
0.35
1.19
25.44
Is it profitable?
15.48B
Net Profit Margin (TTM)
5.66%
Gross Profit Margin
0.00%
Diluted EPS (TTM)
4.68
13.17%
Is it growing?
-6.50%
12.50%
Is it risky?
0.52
53.44
3.52B
3.85
Who owns it?
51.90%
3.33%
0.00%
178.65M
169.64M
Does it pay?
24.89%
38.46%
May 4, 2026
--
How much cash?
3.76B
1.17B
912.75M
21.03
- Price (EOD)
- 30.54
- Percent Change
- +0.28 (0.93%)
- Previous Close
- 30.26
- Open
- 30.30
- Low
- 30.30
- High
- 30.64
52-Week Range Position (52WRP)
Above Average
Above Average
within its 1-year price range
€30.54
From 52W Low
+20.71%
From 52W High
-8.78%
Today
+0.93%
1Y Change
+5.67%
6M
€26.40
3M
€29.92
1M
€31.58
Today
€30.54
From 52W Low
+20.71%
From 52W High
-8.78%
Today
+0.93%
1Y Change
+5.67%
6M
€26.40
3M
€29.92
1M
€31.58
Today
€30.54
Above Average
within its 1-year price range
€30.54
Multi-Timeframe Analysis (MTA)
Pullback
A brief dip inside a longer uptrend. Pullbacks are normal and healthy. They often represent buying opportunities when the broader multi-period trend remains intact. As reflected in the Multi-Timeframe Analysis (MTA) below.
1M
-3.3%
3M
+2.1%
6M
+15.7%
1Y
+5.7%
Rate of Change (ROC)
Decelerating
Price has reversed, now falling vs its usual uptrend. As reflected in the ROC Momentum below, which compares recent monthly gain vs its 12-month average pace.
Relative Volume (RVOL)
Low Volume
Very little activity today. Thin trading can exaggerate price moves in either direction. As reflected in the Relative Volume (RVOL) below.
- Name
- SCOR SE
- Founded
- 1956
- CEO
- Thierry Leger
- Employees
- 3,610
- Fiscal Year End
- Dec 31, 2025
- Address
5, avenue Kléber
Paris
MI
75795
France
- GICS Classification
- Financials›Insurance›Insurance
- Website
- www.scor.com
Indicators
Operating Cash Flow
1.17B
Net Income
876.00M
Real Earnings
1.33
Cash flow exceeds reported profit. Every dollar of profit is backed by actual cash. Only the most financially disciplined businesses consistently show this pattern.
Most investors only look at net income, which companies can manipulate through accounting rules. Cash flow is harder to fake. A ratio above 1.0 means every dollar of profit is backed by real cash.
Related Heatmaps
CAC Next 20Index CAC Next 20 - CN20 |
SBF 120Index SBF 120 - PX4 |
Indicators
Operating Cash Flow
1.17B
Net Income
876.00M
Real Earnings
1.33
Cash flow exceeds reported profit. Every dollar of profit is backed by actual cash. Only the most financially disciplined businesses consistently show this pattern.
Most investors only look at net income, which companies can manipulate through accounting rules. Cash flow is harder to fake. A ratio above 1.0 means every dollar of profit is backed by real cash.
Stock Details
Is it expensive?
Market Cap
5.46B
Trailing P/E Ratio
6.47
Forward P/E Ratio
6.78
PEG Ratio
0.00
7.22B
5.06
Price-to-Sales (TTM)
0.35
1.19
25.44
Is it profitable?
15.48B
Net Profit Margin (TTM)
5.66%
Gross Profit Margin
0.00%
Diluted EPS (TTM)
4.68
13.17%
Is it growing?
-6.50%
12.50%
Is it risky?
0.52
53.44
3.52B
3.85
Who owns it?
51.90%
3.33%
0.00%
178.65M
169.64M
Does it pay?
24.89%
38.46%
May 4, 2026
--
How much cash?
3.76B
1.17B
912.75M
21.03
- Price (EOD)
- 30.54
- Percent Change
- +0.28 (0.93%)
- Previous Close
- 30.26
- Open
- 30.30
- Low
- 30.30
- High
- 30.64
52-Week Range Position (52WRP)
Above Average
Above Average
within its 1-year price range
€30.54
From 52W Low
+20.71%
From 52W High
-8.78%
Today
+0.93%
1Y Change
+5.67%
6M
€26.40
3M
€29.92
1M
€31.58
Today
€30.54
From 52W Low
+20.71%
From 52W High
-8.78%
Today
+0.93%
1Y Change
+5.67%
6M
€26.40
3M
€29.92
1M
€31.58
Today
€30.54
Above Average
within its 1-year price range
€30.54
Multi-Timeframe Analysis (MTA)
Pullback
A brief dip inside a longer uptrend. Pullbacks are normal and healthy. They often represent buying opportunities when the broader multi-period trend remains intact. As reflected in the Multi-Timeframe Analysis (MTA) below.
1M
-3.3%
3M
+2.1%
6M
+15.7%
1Y
+5.7%
Rate of Change (ROC)
Decelerating
Price has reversed, now falling vs its usual uptrend. As reflected in the ROC Momentum below, which compares recent monthly gain vs its 12-month average pace.
Relative Volume (RVOL)
Low Volume
Very little activity today. Thin trading can exaggerate price moves in either direction. As reflected in the Relative Volume (RVOL) below.
- Name
- SCOR SE
- Founded
- 1956
- CEO
- Thierry Leger
- Employees
- 3,610
- Fiscal Year End
- Dec 31, 2025
- Address
5, avenue Kléber
Paris
MI
75795
France
- GICS Classification
- Financials›Insurance›Insurance
- Website
- www.scor.com
Related Heatmaps
CAC Next 20Index CAC Next 20 - CN20 |
SBF 120Index SBF 120 - PX4 |