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Financial data sourced from official regulatory filings and verified market data providers. Metrics calculated using GAAP/IFRS standards.

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The analyses and visuals on this site are for informational purposes only and do not constitute investment advice.

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Last updated: April 2026

CS PEER ANALYSIS

AXA SA — metric-by-metric comparison with peers and the industry median

CSAXA SA

🇫🇷 France · PA · Financial Services · Insurance - Diversified

Value itDuel
PriceFinancialsPeers

Overall Profile & Returns

· Insurance - Diversified

Position Within Industry

0 = weak quartile, 100 = strong quartile
ValuationProfitabilityGrowthFinancial HealthDividend
CSIndustry median

Scores normalize each metric against industry quartiles (p25–p75); direction is inverted for lower-is-better metrics.

Return Comparison

1-Year
Split-adjusted
CS+11.9%ALV+27.7%SLF+33.8%AIG-1.3%HIG+14.1%ACGL+15.6%
Year-to-Date (YTD)
CS+13.1%ALV+12.5%SLF+34.5%AIG-6.0%HIG+0.9%ACGL+6.5%
1-Year
Split-adjusted
CS+11.9%BNP+42.8%GLE+60.7%ACA+17.3%ENX+4.4%
Year-to-Date (YTD)
CS+13.1%BNP+30.9%GLE+14.1%ACA+8.0%ENX+17.9%

Key Metric Comparison

P/E

Lower is better
CS9.21ALV13.35SLF20.55AIG13.62HIG9.63ACGL7.55Median 13.48

ROE

Higher is better
CS23.3%ALV18.8%SLF12.9%AIG7.7%HIG22.7%ACGL21.3%Median 14.8%

Net Margin

Higher is better
CS9.0%ALV8.5%SLF9.1%AIG11.9%HIG14.1%ACGL24.7%Median 9.0%

Revenue Growth

Higher is better

P/E

Lower is better
CS9.21BNP11.76GLE7.54ACA5.30ENX22.90Median 13.48

ROE

Higher is better
CS23.3%BNP7.5%GLE10.8%ACA13.5%ENX15.0%Median 14.8%

Net Margin

Higher is better
CS9.0%BNP15.0%GLE13.2%ACA5.6%ENX35.5%Median 9.0%

Revenue Growth

Higher is better

All Metrics

Valuation
MetricCSALVSLFAIGHIGACGLInd. Median
P/E9.2113.3520.5513.629.637.55●13.48
P/B2.082.432.531.07●2.061.521.57
EV/EBITDA14.42—13.162.23●6.904.719.69
P/S———————
Financial Health
MetricCSALVSLFAIGHIGACGLInd. Median
Current Ratio0.10—6.030.8318.17●0.680.83
Debt/Equity145.4%—33.5%22.7%23.1%11.3%●23.1%
NetDebt/EBITDA4.46—-0.09-3.32●-0.00-1.63-0.09
Profitability
MetricCSALVSLFAIGHIGACGLInd. Median
Net Margin9.0%8.5%9.1%11.9%14.1%24.7%●9.0%
ROE23.3%●18.8%12.9%7.7%22.7%21.3%14.8%
ROA1.5%1.2%0.9%2.0%4.8%6.2%●1.5%
EBITDA Margin———————
Growth + Dividend
MetricCSALVSLFAIGHIGACGLInd. Median
Rev. Growth———————
NI Growth33.1%21.9%0.0%—35.9%●29.4%29.4%
Div. Yield5.3%●0.3%3.2%2.4%1.7%0.1%2.8%
Payout48.3%3.9%64.0%31.1%15.5%1.0%43.7%
Valuation
MetricCSBNPGLEACAENXInd. Median
P/E9.2111.767.545.30●22.9013.48
P/B2.080.870.810.68●3.251.57
EV/EBITDA14.42—4.26●—13.729.69
P/S——————
Financial Health
MetricCSBNPGLEACAENXInd. Median
Current Ratio0.10—0.24—6.03●0.83
Debt/Equity145.4%—229.8%—72.2%●23.1%
NetDebt/EBITDA4.46—0.55●—1.10-0.09
Profitability
MetricCSBNPGLEACAENXInd. Median
Net Margin9.0%15.0%13.2%5.6%35.5%●9.0%
ROE23.3%●7.5%10.8%13.5%15.0%14.8%
ROA1.5%●0.3%0.5%0.5%0.2%1.5%
EBITDA Margin——————
Growth + Dividend
MetricCSBNPGLEACAENXInd. Median
Rev. Growth——————
NI Growth33.1%-12.8%48.4%●-6.0%3.9%29.4%
Div. Yield5.3%5.0%2.1%6.4%●5.7%2.8%
Payout48.3%30.1%—31.4%131.3%43.7%

The green dot marks the best value in the group given the metric direction (higher/lower is better). All metrics use trailing-twelve-month (TTM) data.

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Data on this page refreshes once per day. Price data as of Jul 3, 26. This content is for informational purposes only and is not investment advice.