W.R. Berkley Corp stock (US08411M1045): valuation focus as NYSE shares hover in mid-60 USD range
29.05.2026 - 19:47:36 | ad-hoc-news.deW.R. Berkley Corp shares on the New York Stock Exchange traded at about USD 64.30 on 05/28/2026, leaving the United States-based insurer near the mid-point of its recent trading range as investors reassess the stock after strong quarterly results and updated valuation metrics, according to Robinhood data as of 05/28/2026Robinhood as of 05/28/2026.
The specialty property and casualty insurer, headquartered in Greenwich, Connecticut, continues to trade on the NYSE under ticker WRB, with recent quarterly numbers showing earnings per share of USD 1.30 and revenue of USD 3.69 billion, both above market expectations, according to MarketBeat on 05/29/2026MarketBeat as of 05/29/2026.
As of: 05/29/2026
By the editorial team - specialized in equity coverage.
At a glance
- Name: W.R. Berkley
- Sector/industry: Property and casualty insurance, specialty insurance, reinsurance
- Headquarters/country: Greenwich, United States
- Core markets: Commercial insurance and reinsurance markets primarily in the United States with international operations
- Key revenue drivers: Specialty commercial property and casualty underwriting, excess and surplus lines, and reinsurance across multiple niches
- Home exchange/listing venue: New York Stock Exchange (WRB)
- Trading currency: USD
W.R. Berkley Corp: core business model
W.R. Berkley Corp operates as an insurance holding company focused on underwriting specialized commercial property and casualty risks and selected reinsurance lines, with premium income driven mainly by niche business segments where tailored coverage and disciplined pricing support its revenue baseMarketBeat as of 05/29/2026.
Valuation metrics and multiples for W.R. Berkley Corp
Based on a share price of USD 64.30 and data from 05/28/2026, W.R. Berkley Corp is trading at a price-to-earnings ratio of about 13.86, giving the New York-listed insurer a valuation below some faster-growing specialty peers but within a typical range for established United States property and casualty groups, according to Robinhood figures as of 05/28/2026Robinhood as of 05/28/2026.
The same dataset cites a market capitalization near USD 23.94 billion for W.R. Berkley Corp at that price level and shows the stock offering a dividend yield reported at 55.1 percent, a figure that appears inflated versus conventional insurance-sector payout ratios and likely reflects a data issue, so investors typically cross-check that payout information against company filings and investor relations disclosuresRobinhood as of 05/28/2026.
Per MarketBeat data referencing analyst models as of 05/29/2026, 18 analysts covering W.R. Berkley Corp have an average 12-month price target of about USD 68.81, with target values ranging from USD 60.00 to USD 78.00, and the mean recommendation aggregating to a "Reduce" stance, which places the current NYSE trading level modestly below that consensus target bandMarketBeat as of 05/29/2026.
Read more
Additional news and developments on the stock can be explored via the linked overview pages.
Sentiment and reactions on W.R. Berkley Corp
News about W.R. Berkley Corp's valuation metrics and earnings performance has prompted active discussion among market participants across social platforms, particularly as the NYSE-listed insurer trades in the mid-60 USD range while analysts debate its risk-reward profile.
Conclusion
With W.R. Berkley Corp trading around USD 64.30 on the NYSE and carrying a reported price-to-earnings ratio near 13.86 as of 05/28/2026, the United States insurer is valued at a level that reflects steady profitability after its recent earnings beat while still sitting moderately below the average analyst price target band.
The valuation lens highlighted by current market data and consensus models underscores how investors are balancing the group's specialty insurance growth prospects and underwriting track record against reported payout metrics and broader sector conditions, leaving upcoming results and any changes in risk appetite as key variables for the share's medium-term path.
Disclaimer: This article does not constitute investment advice. The comprehensive scope of this informative article was made possible through the use of a.i.. Stocks are volatile financial instruments.
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