Loading...
XFRA
MUV2
Market cap83bUSD
, Last price  
Name

Muenchener Rueckversicherungs Gesellschaft in Muenchen AG

Chart & Performance

D1W1MN
P/E
P/S
EPS
44.61
Div Yield, %
Shrs. gr., 5y
-1.54%
Rev. gr., 5y
1.39%
Revenues
61.40b
+4.75%
48,493,000,00049,880,000,00053,122,000,00060,345,000,00059,583,000,00064,135,000,00060,908,000,00059,889,000,00057,927,000,00055,869,000,00055,862,000,00055,157,000,00055,334,000,00051,579,000,00057,310,000,00058,639,000,00063,860,000,00068,452,000,00058,612,000,00061,399,000,000
Net income
5.69b
+23.43%
2,743,000,0003,536,000,0003,937,000,0001,528,000,0002,564,000,0002,430,000,000712,000,0003,195,000,0003,313,000,0003,153,000,0003,107,000,0002,580,000,000375,000,0002,310,000,0002,724,000,0001,211,000,0002,933,000,0003,432,000,0004,606,000,0005,685,000,000
CFO
3.14b
+23.59%
6,119,000,0006,886,000,0006,628,000,0008,428,000,0008,654,000,0008,836,000,0006,075,000,0005,535,000,0002,187,000,0007,527,000,0004,327,000,0003,132,000,0001,833,000,0002,998,000,0009,493,000,0007,219,000,0005,226,000,000-7,644,000,0002,543,000,0003,143,000,000
Dividend
May 02, 20250 /sh
Earnings
Aug 08, 2025

Profile

Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München engages in the insurance and reinsurance businesses worldwide. The company operates through five segments: Life and Health Reinsurance; Property-Casualty Reinsurance; ERGO Life and Health Germany; ERGO Property-Casualty Germany; and ERGO International. It offers life and health reinsurance solutions, such as financial market risks, data analytics, claims handling and underwriting, medical research, health market, capital management, and digital underwriting and analytics, as well as MIRA digital suite; and property and casualty reinsurance solutions, including agricultural risk, data analytics, infrastructure risk profiler, remote inspection, retroactive reinsurance, insurance linked securities, location risk, risk transfer, and cyber, as well as NatCatSERVICE for natural catastrophe loss database, REALYTIX ZERO, IMPROVEX, cert2go, consulting for product development, prospective structured reinsurance, and Vahana AI for motor claims. The company also provides solutions for industry clients, such as IoT cover, earnings quality insurance protection, captive insurance and risk transfer, liability, weather risks, space and satellite insurance, bioenergy plant performance insurance, solar energy insurance, wind farm insurance, mining insurance, construction projects covers and services, aviation insurance, power and utilities, oil and gas companies insurance, industrial cyber insurance, risk suite, data and location risk intelligence, digital risks, PV warranty insurance, parametric, Insure AI, liquidation damage cover, and natural catastrophes solutions. In addition, it offers life, property-casualty, health, legal protection, and travel insurance products under the ERGO brand name. The company was founded in 1880 and is based in Munich, Germany.
IPO date
Nov 28, 1997
Employees
42,061
Domiciled in
DE
Incorporated in
DE

Valuation

Title
EUR in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
61,399,000
4.75%
58,612,000
-14.38%
68,452,000
7.19%
Cost of revenue
8,968,000
2,497,000
3,399,000
Unusual Expense (Income)
NOPBT
52,431,000
56,115,000
65,053,000
NOPBT Margin
85.39%
95.74%
95.03%
Operating Taxes
2,091,000
936,000
580,000
Tax Rate
3.99%
1.67%
0.89%
NOPAT
50,340,000
55,179,000
64,473,000
Net income
5,685,000
23.43%
4,606,000
34.21%
3,432,000
17.01%
Dividends
(2,006,000)
(1,583,000)
(1,549,000)
Dividend yield
3.10%
3.09%
3.66%
Proceeds from repurchase of equity
(1,437,000)
(1,041,000)
(148,000)
BB yield
2.22%
2.03%
0.35%
Debt
Debt current
135,000
Long-term debt
6,321,000
5,150,000
6,807,000
Deferred revenue
Other long-term liabilities
247,449,000
238,131,000
8,947,000
Net debt
(228,194,000)
(217,928,000)
(305,422,000)
Cash flow
Cash from operating activities
3,143,000
2,543,000
(7,644,000)
CAPEX
(167,000)
(148,000)
(10,671,000)
Cash from investing activities
(505,000)
(329,000)
11,347,000
Cash from financing activities
(2,228,000)
(2,983,000)
(2,702,000)
FCF
86,473,000
64,610,000
74,718,000
Balance
Cash
6,116,000
8,570,000
149,706,000
Long term investments
228,399,000
214,508,000
162,658,000
Excess cash
231,445,050
220,147,400
308,941,400
Stockholders' equity
32,348,000
29,771,000
28,047,000
Invested Capital
254,167,000
231,971,000
253,419,000
ROIC
20.71%
22.74%
24.57%
ROCE
18.30%
21.26%
23.10%
EV
Common stock shares outstanding
132,889
135,977
139,364
Price
487.10
29.41%
376.40
24.06%
303.40
16.58%
Market cap
64,730,329
26.47%
51,181,672
21.05%
42,283,170
15.97%
EV
(163,359,671)
(166,624,328)
(262,999,830)
EBITDA
52,806,000
56,409,000
65,374,000
EV/EBITDA
Interest
327,000
296,000
286,000
Interest/NOPBT
0.62%
0.53%
0.44%