Axis Capital Holdings (FRA:AXV) Piotroski F-Score: 8 (As of Jul. 27, 2026) — 60% Above Median

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FRA:AXV Axis Capital Holdings Ltd FRA:AXV
80 GF Score
Price €102.00
GF Value €91.15
Valuation Modestly Overvalued
! 7 Warning Signs
View Full Analysis

What is Axis Capital Holdings Piotroski F-Score?

Axis Capital Holdings FRA:AXV +7.37% 80 Piotroski F-Score is 8 as of Jul. 27, 2026, which is 60% above its 10-year median of 5.00. GuruFocus rates FRA:AXV with a GF Score™ of 80/100 and a GF Value™ of €91.15 (Modestly Overvalued). The stock has 7 warning signs investors should review. Among 487 Insurance companies, Axis Capital Holdings ranks better than 96.71% on this metric.

Good Sign:

Piotroski F-Score is 8, indicates a very healthy situation.

The zones of discrimination were as such:

Good or high score = 7, 8, 9
Bad or low score = 0, 1, 2, 3

Axis Capital Holdings has an F-score of 7. It is a good or high score, which usually indicates a very healthy situation.

The historical rank and industry rank for Axis Capital Holdings's Piotroski F-Score or its related term are showing as below:

FRA:AXV' s Piotroski F-Score Range Over the Past 10 Years
Min: 3   Med: 5   Max: 9
Current: 8

During the past 13 years, the highest Piotroski F-Score of Axis Capital Holdings was 9. The lowest was 3. And the median was 5.

Axis Capital Holdings  (FRA:AXV) Piotroski F-Score Explanation

The developer of the system is Joseph D. Piotroski is relatively unknown accounting professor who shuns publicity and rarely gives interviews.

He graduated from the University of Illinois with a B.S. in accounting in 1989, received an M.B.A. from Indiana University in 1994. Five years later, in 1999, after earning a Ph.D. in accounting from the University of Michigan, he became an associate professor of accounting at the University of Chicago.

In 2000, he wrote a research paper called "Value Investing: The Use of Historical Financial Statement Information to Separate Winners from Losers" (pdf).

He wanted to see if he can develop a system (using a simple nine-point scoring system) that can increase the returns of a strategy of investing in low price to book (referred to in the paper as high book to market) value companies.

What he found was something that exceeded his most optimistic expectations.

Buying only those companies that scored highest (8 or 9) on his nine-point scale, or F-Score as he called it, over the 20 year period from 1976 to 1996 led to an average out-performance over the market of 13.4%.

Even more impressive were the results of a strategy of investing in the highest F-Score companies (8 or 9) and shorting companies with the lowest F-Score (0 or 1).

Over the same period from 1976 to 1996 (20 years) this strategy led to an average yearly return of 23%, substantially outperforming the average S&P 500 index return of 15.83% over the same period.


Axis Capital Holdings Piotroski F-Score Related Terms


Axis Capital Holdings Piotroski F-Score Historical Data

* Premium members only.

The historical data trend for Axis Capital Holdings's Piotroski F-Score can be seen below:

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.

Axis Capital Holdings Piotroski F-Score Chart

Axis Capital Holdings Annual Data
Trend Dec16 Dec17 Dec18 Dec19 Dec20 Dec21 Dec22 Dec23 Dec24 Dec25
Piotroski F-Score
Get a 7-Day Free Trial Premium Member Only Premium Member Only 7.00 3.00 8.00 8.00 3.00

Axis Capital Holdings Quarterly Data
Jun21 Sep21 Dec21 Mar22 Jun22 Sep22 Dec22 Mar23 Jun23 Sep23 Dec23 Mar24 Jun24 Sep24 Dec24 Mar25 Jun25 Sep25 Dec25 Mar26
Piotroski F-Score Get a 7-Day Free Trial Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only 8.00 6.00 5.00 3.00 8.00

FRA:AXV vs FAF, ACT, MTG: Piotroski F-Score Comparison

For the Insurance - Specialty subindustry, Axis Capital Holdings's Piotroski F-Score, along with its competitors' market caps and Piotroski F-Score data, can be viewed below:

* Competitive companies are chosen from companies within the same industry, with headquarter located in same country, with closest market capitalization; x-axis shows the market cap, and y-axis shows the term value; the bigger the dot, the larger the market cap. Note that "N/A" values will not show up in the chart.


Axis Capital Holdings Piotroski F-Score vs Insurance Industry

For the Insurance industry and Financial Services sector, Axis Capital Holdings's Piotroski F-Score distribution charts can be found below:

* The bar in red indicates where Axis Capital Holdings's Piotroski F-Score falls into.


FRA:AXV
80GF Score
Axis Capital Holdings Ltd FRA:AXV
Piotroski F-Score is just one metric. See GF Score™, valuation, warning signs, and more.
View Full Analysis

How is the Piotroski F-Score calculated?

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.

This Year (Mar26) TTM:Last Year (Mar25) TTM:
Net Income was 193.651 + 257.188 + 247.326 + 220.373 = €919 Mil.
Cash Flow from Operations was -1434.207 + 574.113 + 538.333 + 449.284 = €128 Mil.
Revenue was 1335.444 + 1442.65 + 1472.81 + 1453.786 = €5,705 Mil.
Average Total Assets from the begining of this year (Mar25)
to the end of this year (Mar26) was
(30755.486 + 29608.948 + 29254.549 + 29430.485 + 30810.215) / 5 = €29971.9366 Mil.
Total Assets at the begining of this year (Mar25) was €30,755 Mil.
Long-Term Debt & Capital Lease Obligation was €1,292 Mil.
Total Assets was €30,810 Mil.
Total Liabilities was €25,291 Mil.
Net Income was 196.915 + 162.836 + 280.42 + 179.516 = €820 Mil.

Revenue was 1366.417 + 1369.296 + 1513.452 + 1357.716 = €5,607 Mil.
Average Total Assets from the begining of last year (Mar24)
to the end of last year (Mar25) was
(29217.995 + 29801.281 + 29483.106 + 31210.65 + 30755.486) / 5 = €30093.7036 Mil.
Total Assets at the begining of last year (Mar24) was €29,218 Mil.
Long-Term Debt & Capital Lease Obligation was €1,378 Mil.
Total Assets was €30,755 Mil.
Total Liabilities was €25,295 Mil.

*Note: If the latest quarterly/semi-annual/annual total assets data is 0, then we will use previous quarterly/semi-annual/annual data for all the items in the balance sheet.

Profitability

Question 1. Return on Assets (ROA)

Net income before extraordinary items for the year divided by Total Assets at the beginning of the year.

Score 1 if positive, 0 if negative.

Axis Capital Holdings's current Net Income (TTM) was 919. ==> Positive ==> Score 1.

Question 2. Cash Flow Return on Assets (CFROA)

Net cash flow from operating activities (operating cash flow) divided by Total Assets at the beginning of the year.

Score 1 if positive, 0 if negative.

Axis Capital Holdings's current Cash Flow from Operations (TTM) was 128. ==> Positive ==> Score 1.

Question 3. Change in Return on Assets

Compare this year's return on assets (1) to last year's return on assets.

Score 1 if it's higher, 0 if it's lower.

ROA (This Year)=Net Income/Total Assets (Mar25)
=918.538/30755.486
=0.02986583

ROA (Last Year)=Net Income/Total Assets (Mar24)
=819.687/29217.995
=0.02805418

Axis Capital Holdings's return on assets of this year was 0.02986583. Axis Capital Holdings's return on assets of last year was 0.02805418. ==> This year is higher. ==> Score 1.

Question 4. Quality of Earnings (Accrual)

Compare Cash flow return on assets (2) to return on assets (1)

Score 1 if CFROA > ROA, 0 if CFROA <= ROA.

Axis Capital Holdings's current Net Income (TTM) was 919. Axis Capital Holdings's current Cash Flow from Operations (TTM) was 128. ==> 128 <= 919 ==> CFROA <= ROA ==> Score 0.

Funding

Question 5. Change in Gearing or Leverage

Compare this year's gearing (long-term debt divided by average total assets) to last year's gearing.

Score 0 if this year's gearing is higher, 1 otherwise.

Gearing (This Year: Mar26)=Long-Term Debt & Capital Lease Obligation/Average Total Assets from Mar25 to Mar26
=1292.02/29971.9366
=0.04310766

Gearing (Last Year: Mar25)=Long-Term Debt & Capital Lease Obligation/Average Total Assets from Mar24 to Mar25
=1377.532/30093.7036
=0.04577476

Axis Capital Holdings's gearing of this year was 0.04310766. Axis Capital Holdings's gearing of last year was 0.04577476. ==> This year is lower or equal to last year. ==> Score 1.

Question 6. Change in Working Capital (Liquidity)

Compare this year's current ratio (current assets divided by current liabilities) to last year's current ratio.

Score 1 if this year's current ratio is higher, 0 if it's lower

* Note that for banks and insurance companies, there's no Total Current Assets and Total Current Liabilities reported. Thus, we use Total Assets and Total Liabilities to calculate current ratio for banks and insurance companies.

Current Ratio (This Year: Mar26)=Total Assets/Total Liabilities
=30810.215/25290.965
=1.21823011

Current Ratio (Last Year: Mar25)=Total Assets/Total Liabilities
=30755.486/25295.397
=1.21585307

Axis Capital Holdings's current ratio of this year was 1.21823011. Axis Capital Holdings's current ratio of last year was 1.21585307. ==> This year's current ratio is higher. ==> Score 1.

Question 7. Change in Shares in Issue

Compare the number of shares in issue this year, to the number in issue last year.

Score 0 if there is larger number of shares in issue this year, 1 otherwise.

Axis Capital Holdings's number of shares in issue this year was 75.153. Axis Capital Holdings's number of shares in issue last year was 82.378. ==> There is smaller number of shares in issue this year, or the same. ==> Score 1.

Efficiency

Question 8. Change in Gross Margin

Compare this year's gross margin (Gross Profit divided by sales) to last year's.

Score 1 if this year's gross margin is higher, 0 if it's lower.

* Note that for banks and insurance companies, there's no Gross Profit reported. Thus, we use net income instead of gross profit and calculate Net Margin for this score.

Net Margin (This Year: TTM)=Net Income/Revenue
=918.538/5704.69
=0.16101453

Net Margin (Last Year: TTM)=Net Income/Revenue
=819.687/5606.881
=0.14619304

Axis Capital Holdings's net margin of this year was 0.16101453. Axis Capital Holdings's net margin of last year was 0.14619304. ==> This year's net margin is higher. ==> Score 1.

Question 9. Change in asset turnover

Compare this year's asset turnover (total sales for the year divided by total assets at the beginning of the year) to last year's asset turnover ratio.

Score 1 if this year's asset turnover ratio is higher, 0 if it's lower

Asset Turnover (This Year)=Revenue/Total Assets at the Beginning of This Year (Mar25)
=5704.69/30755.486
=0.18548528

Asset Turnover (Last Year)=Revenue/Total Assets at the Beginning of Last Year (Mar24)
=5606.881/29217.995
=0.19189821

Axis Capital Holdings's asset turnover of this year was 0.18548528. Axis Capital Holdings's asset turnover of last year was 0.19189821. ==> Last year's asset turnover is higher ==> Score 0.

Evaluation

Piotroski F-Score= Que. 1+ Que. 2+ Que. 3+Que. 4+Que. 5+Que. 6+Que. 7+Que. 8+Que. 9
=1+1+1+0+1+1+1+1+0
=7

Good or high score = 7, 8, 9
Bad or low score = 0, 1, 2, 3

Axis Capital Holdings has an F-score of 7. It is a good or high score, which usually indicates a very healthy situation.

Frequently Asked Questions Learn more about Piotroski F-Score →
What does a Piotroski F-Score of 8 mean?
Axis Capital Holdings (FRA:AXV) has a Piotroski F-Score of 8 as of Jul. 27, 2026. The Piotroski F-score grades a company's business operating strength from 0-9. View historical data on Axis Capital Holdings and its competitors. This is 60% above median its historical median of 5.00. Over the past decade, Axis Capital Holdings' Piotroski F-Score has ranged from 3.00 to 9.00. According to the industry distribution chart, Axis Capital Holdings ranks #16 out of 487 companies in the Insurance industry, placing it in the top 3.3%.
Is Axis Capital Holdings' Piotroski F-Score too high?
Axis Capital Holdings' current Piotroski F-Score of 8 is 60% above median its 10-year median of 5.00. Over the past 10 years, this metric has ranged from a low of 3.00 to a high of 9.00. The Insurance industry median Piotroski F-Score is 6.00. Axis Capital Holdings' value of 8 is 33.3% above this industry median. Based on the distribution chart, Axis Capital Holdings ranks #16 out of 487 companies in the Insurance industry, which is in the top quartile — a strong position relative to peers. Overall, Axis Capital Holdings has a GF Score™ of 80/100 and is considered Modestly Overvalued, reflecting its overall financial health beyond just this single metric.
How does Axis Capital Holdings' Piotroski F-Score compare to FAF and ACT?
According to the Insurance industry distribution chart, Axis Capital Holdings ranks #16 out of 487 companies for Piotroski F-Score. This places Axis Capital Holdings in the top 3% of its industry — outperforming the majority of peers. The industry median Piotroski F-Score is 6.00. Axis Capital Holdings' value of 8 is 33.3% above this benchmark. Historically, Axis Capital Holdings' own Piotroski F-Score has ranged from 3.00 to 9.00 over the past decade. While the company's 10-year median is 5.00 vs. the industry median of 6.00, Axis Capital Holdings has consistently been above the industry average. See the competitive comparison table and distribution chart on this page for a detailed peer-by-peer breakdown.
What is a good Piotroski F-Score for an Insurance company?
The median Piotroski F-Score among Insurance companies is 6.00, based on 487 companies in the industry. Companies in the top quartile (top 25%) have a Piotroski F-Score significantly above this median, while those in the bottom quartile fall well below. However, Piotroski F-Score should not be evaluated in isolation — investors should consider it alongside profitability, growth, and financial strength metrics. Axis Capital Holdings's current Piotroski F-Score of 8 is 33.3% above the industry median. Use the industry distribution chart on this page to see where any company falls relative to its peers.
What does a high Piotroski F-Score mean?
A high Piotroski F-Score can signal that a stock is expensive relative to its fundamentals. The Piotroski F-score grades a company's business operating strength from 0-9. View historical data on Axis Capital Holdings and its competitors. For the Insurance industry, the median Piotroski F-Score is 6.00 — values significantly above this may indicate overvaluation, while values below may suggest a bargain or underlying issues. Axis Capital Holdings's current Piotroski F-Score is 8, which is 60% above median its own 10-year median of 5.00. However, context matters — high-growth companies often justify higher valuations. Always evaluate alongside other metrics like GF Score™ and GF Value™.
Is Axis Capital Holdings stock overvalued right now?
Based on GuruFocus' analysis, Axis Capital Holdings (FRA:AXV) is currently considered Modestly Overvalued. The stock's GF Value™ is €91.15, compared to a current price of €102.00 — trading 11.9% above its estimated fair value. The current Piotroski F-Score is 8, which is 60% above median its 10-year median of 5.00 and 33.3% above the Insurance industry median of 6.00. Axis Capital Holdings' overall GF Score™ is 80/100 with 7 warning signs to review. Investors should evaluate multiple metrics — including profitability, growth, and financial strength — before making a decision.
How is Piotroski F-Score calculated?
Piotroski F-Score is calculated from a company's financial statements. For Axis Capital Holdings (FRA:AXV), the current Piotroski F-Score is 8 as of Jul. 27, 2026. GuruFocus calculates this using data sourced from SEC filings and annual reports. See the calculation section and 30-year financial data on this page for the full breakdown.

Is Axis Capital Holdings (FRA:AXV) Overvalued in 2026?

Based on GuruFocus' analysis, Axis Capital Holdings stock appears to be overvalued. The current stock price of €102.00 is trading 11.9% above its estimated GF Value™ of €91.15. GuruFocus considers Axis Capital Holdings to be Modestly Overvalued.

Key valuation signals for FRA:AXV:

  • Piotroski F-Score: 8 (60% above median its 10-year median of 5.00)
  • GF Value™: €91.15 vs. price of €102.00 (11.9% above fair value)
  • GF Score™: 80/100 with 7 warning signs
  • Industry Position: 33.3% above the Insurance median (#16 of 487)

No single metric tells the full story. See the FRA:AXV stock analysis page for a complete view including 30-year financials, guru trades, and insider activity.


Axis Capital Holdings Business Description

Other Exchanges AXSpE.PFD:USAAXS:USA
Address 29 Richmond Road, 3rd Floor, Pembroke, BMU, HM 08
Axis Capital Holdings Ltd is a specialty underwriter and provider of insurance and reinsurance solutions with operations in Bermuda, the United States (U.S.), Europe, Singapore, and Canada. The company manages its portfolio holistically, aiming to construct an optimum consolidated portfolio of funded and unfunded risks. The company's segment consists of Insurance and Reinsurance. The company generates the majority of its revenue from the Insurance segment. Geographically, the company generates the majority of its revenue from the United States, and also has its presence in Ireland, Lloyd's of London, and Bermuda.
80GF Score

Get the complete analysis for FRA:AXV

Piotroski F-Score is just one metric. See GF Value™, 30-year financials, guru trades, warning signs, and more.

€102.00
Price
€91.15
GF Value