
Scor SE share price has been on a wild ride in recent years, with significant fluctuations in value. The company's stock price has dropped by nearly 50% in the past year alone.
Scor SE is a global reinsurer that provides insurance coverage to other insurance companies. This means they help pay out claims when a policyholder experiences a loss.
Their share price is listed on the Euronext Amsterdam stock exchange. As of the latest data, the company's market capitalization is around €3 billion.
The company's financial performance has been affected by various factors, including the COVID-19 pandemic and changes in the global insurance market.
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Financials
Scor SE's financials reveal a significant amount of cash and short-term investments, totaling $2.1 billion.
The company's long-term investments are substantial, with a value of $26.1 billion.
Scor SE's other assets, including those not categorized as cash or long-term investments, amount to $7.6 billion.
The company's liabilities are also noteworthy, with $24.2 billion in insurance policy liabilities and $3.3 billion in long-term debt.
Here's a breakdown of Scor SE's assets and liabilities:
Balance Sheet Decomposition
Let's break down the balance sheet of Scor SE, a company that's likely to be familiar to those in the financial sector. The company has a significant amount of cash and short-term investments, totaling $2.1 billion.
The company also has a substantial amount of long-term investments, valued at $26.1 billion. This suggests that Scor SE is investing heavily in the future, likely in the form of stocks, bonds, or other securities.
Other assets, such as property, equipment, or intangible assets, make up $7.6 billion of the company's balance sheet.
Now, let's take a look at the liabilities side of the balance sheet. Insurance policy liabilities, which are essentially the company's obligations to pay out on insurance claims, total $24.2 billion.
Long-term debt, which is essentially the company's borrowed money that must be repaid over a period of time, is $3.3 billion.
Other liabilities, such as accounts payable or accrued expenses, total $4.1 billion.
Here's a breakdown of the company's assets and liabilities:
Price Targets Summary
As we delve into the world of financials, it's essential to understand the price targets set by Wall Street analysts. The average 1-year price target for Scor SE is 31.42 EUR.
This target is based on forecasts from various analysts, with a low estimate of 25.25 EUR and a high estimate of 35.7 EUR.
Let's break down these estimates in a table for easier comparison:
These estimates give us an idea of the potential price range for Scor SE in the next year.
History
The SCOR SE share price has seen its fair share of fluctuations in the past few months. On January 28, 2025, the share price opened at €24.80.
The share price has ranged from a low of €23.32 on December 31, 2024, to a high of €25.00 on January 28, 2025. This indicates a relatively stable market for the company.
Here's a breakdown of the share price changes over the past few months:
The company's share price has had its ups and downs, but it's essential to keep an eye on these fluctuations to make informed investment decisions.
Scr History
SCR history is a fascinating topic. SCR share price has been steadily increasing over the past few months, with a notable spike on January 9, 2025, where it rose by 2.14% to €24.84.
The highest recorded high for SCR share price was €25.22 on January 24, 2025. This was a significant increase from the previous day's low of €24.46.
SCR share price has experienced some volatility in January 2025, with a drop of 0.73% on January 21, 2025, and a rise of 1.85% on January 14, 2025. On January 17, 2025, it rose by 1.59% to €24.30.
Here are the top 5 days with the highest daily movements in SCR share price:
SCR share price has shown a general trend of increasing over the past few months, with some fluctuations along the way.
Price History
The price history of a stock can be a fascinating topic, and I'm here to break it down for you.

The current share price of SCOR is €25.24.
This price is significantly higher than the 52-week low of €16.91, which is a good sign for investors. On the other hand, it's lower than the 52-week high of €32.48.
The beta of SCOR is 1.21, which means that the stock's price can be expected to be more volatile than the overall market.
Here's a breakdown of the stock's price changes over the past few months:
These changes give you an idea of how the stock's price has been performing over time.
Analysis
The current share price of SCOR SE is €25.24, which is a significant drop from its IPO price.
This price change is reflected in the 1 Year Change and 5 Year Change, which stand at -8.45% and -34.08% respectively.
The 52 Week High of €32.48 and 52 Week Low of €16.91 demonstrate the volatility of the share price over the past year.
Consider reading: Why Do Share Prices Change
The 3 Month Change of 27.28% is noteworthy, indicating a substantial increase in the share price.
Here's a summary of the share price changes over the past year:
The Beta of 1.21 indicates that the share price is relatively volatile compared to the market average.
Ownership and Returns
In the past year, SCR's shareholder returns have been less than stellar, with a -8.5% decline.
SCR underperformed the French Insurance industry, which returned 15.5% over the same period.
Here are some key return metrics for SCR:
Despite this, SCR is considered to be trading at good value compared to its peers and industry.
Shareholder Returns
Let's take a closer look at the shareholder returns of SCR, a company that's part of the French Insurance industry.
Over the past 7 days, SCR's shareholder returns were 2.9%, which is in line with its peers at FR Insurance.
However, looking at the past year, SCR's returns have been significantly lower than the industry average, underperforming the French Insurance industry which returned 15.5% over the same period.
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In fact, SCR's returns have been so low that they've even underperformed the French Market, which returned 2.8% over the past year.
Here's a quick summary of the returns:
One thing that's worth noting is that SCR is trading at good value compared to its peers and industry, which could be a positive sign for investors.
Ownership
Ownership is a crucial aspect of investing, and it's essential to understand the different types of ownership to make informed decisions.
Direct ownership gives you complete control over your investments, allowing you to make decisions without relying on others.
As discussed in the article, direct ownership can be beneficial for those who are hands-on and involved in their investments.
Competitors and Volatility
Scor's share price is heavily influenced by its competitors in the insurance industry.
Scor operates in a highly competitive market, with several major players vying for market share.
The company's share price can be volatile due to fluctuations in the overall market.
Scor's competitors include large insurance companies such as AIG and Swiss Re.
Additional reading: Scor Se Stock Price
Risk Analysis
In a competitive market, a company's dividend yield can be a major concern. A dividend of 7.13% is not well covered by earnings, which means the company might struggle to maintain its dividend payments.
This can be a red flag for investors, as it may indicate a higher risk of dividend cuts or even default.
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Competitors
In the world of finance, competitors can be a major source of volatility. The biggest competitor in the industry is often a major driver of market fluctuations.
The article mentions that the company's main competitor, ABC Inc., has been expanding its operations rapidly, which has led to a significant increase in market share. This has resulted in a decline in the company's stock price.
However, the company has been working to strengthen its position by improving its products and services. This includes a recent launch of a new product line that has received positive reviews from customers.
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The competitor's aggressive expansion has also led to a decrease in the company's profit margins. This is because the company has had to lower its prices to remain competitive, which has reduced its revenue.
Despite these challenges, the company remains committed to its vision of providing high-quality products and services to its customers.
Price Volatility
SCR's price volatility is a notable aspect to consider when evaluating the company. Its average weekly movement is 4.2%, which is higher than the insurance industry average of 2.9%.
However, SCR's price volatility has been relatively stable over the past year, with a weekly volatility of 4% remaining consistent. This suggests a certain level of predictability in the company's stock price.
A comparison with the French market shows that SCR's price movement is actually lower than the market average of 4.5%. This is a positive sign, indicating that SCR's stock price is less prone to extreme fluctuations.
Here's a table summarizing the price volatility of SCR compared to the market:
Overall, SCR's price volatility is a mixed bag, with some positive signs and areas for improvement.
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