Form 8-K · Current Report · Filed 2026-02-09
Arch Capital Reports Strong 2025 Q4 Earnings
Arch Capital Group Ltd. announced strong financial results for the 2025 fourth quarter, with net income available to common shareholders at $1.2 billion, or $3.35 per share, a 21.2% annualized net income return on average common equity. The company also reported a favorable development in prior year loss reserves of $118 million and completed share repurchases of $798 million. Arch Capital's CEO expressed optimism for 2026, highlighting the company's ability to deliver superior results for shareholders.
- Filer
- Arch Capital Group Ltd. ACGL · NASDAQ
- Filed
- Accession
- 0000947484-26-000010
- CIK
- 0000947484
- Signal
- Medium impactFinancial Services
- Source
- Official filing on sec.gov ↗
Items reported
Reported Item
Market reaction
Close before filing
$100.95
Next session
-3.1%
Since filing
-5.2%
Latest close
$95.71
What happened, not what will happen — closing prices around the filing date.
Precedent
Previous filings from ACGL reporting the same item, with the next session's move:
About Arch Capital Group Ltd.
Arch Capital Group Ltd. is a leading global insurance and reinsurance provider, specializing in a diverse range of insurance products and services. Established to meet the unique needs of clients across the globe, Arch Capital offers insurance and reinsurance solutions in property, casualty, and specialty lines. With its headquarters in Bermuda, the company plays a pivotal role in the finance and insurance sectors, leveraging its robust underwriting expertise and financial strength. Catering to a broad spectrum of industries, Arch Capital serves commercial and individual clients, providing risk management solutions tailored to various industries. Its presence spans multiple continents, ensuring comprehensive support and coverage. Arch Capital Group Ltd.'s strategic growth and responsible risk management have cemented its status as a significant player in the global insurance landscape, offering innovative products that address emerging risks and evolving market demands.
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