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Axis Capital Holdings Ltd SWOT Analysis: Strengths, Weakness, Opportunity, and Threats

Axis Capital Holdings Ltd has 32 Strengths, 3 Weaknesses, 0 Opportunities and 3 Threats. The SWOT product gives you a quick x-ray of a stock's outlook and potential

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MACD Crossover Above Signal Line

High DVM Mid and Small Caps (subscription)

30 Day SMA crossing over 200 Day SMA, and current price greater than open

Companies with current TTM PE Ratio less than 3 Year, 5 Year and 10 Year PE

High Normalized Momentum Score

Consistent Highest Return Stocks over Five Years

Strong Momentum: Price above short, medium and long term moving averages

Relative Outperformance versus Industry over 1 Week

PE less than Industry PE

Relative Outperformance versus Industry over 1 Month

High DVM Midcap Stocks (MarketCap 1000-10,000)

Rising Net Cash Flow and Cash from Operating activity

Relative Outperformance versus Industry over the Quarter (3 Months)

Relative Outperformance versus Industry over 1 Year

Annual Profit Growth higher than Sector Profit Growth

PEG lower than Industry PEG

High Momentum Scores (Technical Scores greater than 50)

Relative Outperformance versus Industry over 1 Week

Relative Outperformance versus Industry over 1 Month

Affordable Stocks - Stocks with Good Trendlyne Valuation Score

MACD crossed above signal line previous end of day

Near 52 Week High

Effectively using Shareholders fund - Return on equity (ROE) improving since last 2 year

Efficient in managing Assets to generate Profits - ROA improving since last 2 year

Companies with Low Debt

Company able to generate Net Cash - Improving Net Cash Flow for last 2 years

Strong cash generating ability from core business - Improving Cash Flow from operation for last 2 years

Annual Net Profits improving for last 2 years

Book Value per share Improving for last 2 years

Stock with Low PE (PE < = 10)

RSI indicating price strength

Stocks Outperforming their Industry Price Change in the Quarter