Stock Price
38.93
Daily Change
-0.07 -0.18%
Monthly
8.44%
Yearly
12.16%
Q2 Forecast
37.12

EPS Reference Time Actual Consensus Previous
2026-03-12 FY2025Q4 0.68 0.65 1.29
2025-11-13 FY2025Q3 0.68 0.61
2025-08-06 FY2025Q1 0.68 0.71 0.58
2025-05-22 FY2025Q1 0.79 0.68 0.73
2025-03-13 FY2024Q4 1.29 0.94 0.92



Peers Price Chg Day Year Date
Admiral 3,172.00 7.00 0.22% -5.31% May/08
Aegon 7.08 -0.02 -0.25% 16.13% May/09
Ageas 67.15 -0.15 -0.22% 19.48% May/08
Allianz 369.10 -19.60 -5.04% 4.95% May/09
Aston Martin Lagonda 47.02 0.84 1.82% -41.44% May/08
Aberforth Smaller 1,552.00 2.00 0.13% 6.30% May/08
ASR Nederland 64.98 -0.70 -1.07% 14.32% May/08
Aviva 619.80 -2.50 -0.40% 6.24% May/08
Azimut Holding 35.59 -0.08 -0.22% 36.57% May/08
Banca Generali 57.25 0.45 0.79% 1.06% May/09

Indexes Price Day Year Date
EU50 5912 -60.40 -1.01% 11.35% May/08
IT40 49290 -1.46 -0.003% 25.20% May/08
EU600 612 -4.28 -0.69% 13.79% May/08

Assicurazioni Generali traded at 38.93 this Saturday May 9th, decreasing 0.07 or 0.18 percent since the previous trading session. Looking back, over the last four weeks, Assicurazioni Generali lost 8.44 percent. Over the last 12 months, its price rose by 12.16 percent. Looking ahead, we forecast Assicurazioni Generali to be priced at 37.12 by the end of this quarter and at 34.32 in one year, according to Trading Economics global macro models projections and analysts expectations.

Assicurazioni Generali SpA is an Italy-based company engaged in the insurance and financial businesses. The Group operates through three segments: Life, Non Life (property and casualty), and Holding and other business. The Life segment include saving and protection products, both individual and for families, as well as products with investments purposes for companies. The Non-life segment provides various insurance products related to casualty, accident, health, and company plans. The Holding and other business segment includes non insurance assets, mostly banking and asset management activities. The Company is active globally.