AFG Factor Report

Data as of market close on: 7/12/2024.

Fundamental analysis of AFG using the major investing factors, including value, quality, momentum, and low volatility.
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Latest Close: $126.02 Market Cap ($ mil): $10,569 Sector: Financial Industry: Insurance (Prop. & Casualty) 52 Week High: $137.72 52 Week Low: $101.65 Relative Strength: 67 Twelve Minus One Return: 7.2% Standard Deviation: 23.9% Insider Ownership: 17.96%
PE Ratio: 12.1 Price/Sales: 1.3 Price/Book: 2.5 Price/Cash Flow: 11.0 EV/EBITDA: 9.54 Dividend Yield: 2.25% Shareholder Yield: 4.35% Piotroski F Score: 6 Mohanram G Score: 5 Institutional Ownership: 63.42%
Return on Equity: 21.6% Return on Assets: 3.0% Return on Tangible Capital: N/A Return on Invested Capital: 15.0% WACC: 5.7% Debt/Equity: 0.35 LT EPS Growth: 18.7% LT Sales Growth: 3.3% Beta: 0.78 Profit Margin: 11.22%
American Financial Group, Inc. is an insurance holding company. The Company is engaged in property and casualty insurance, focusing on specialized commercial products for businesses. The Company operates through two segments: Property and casualty insurance and Other. Property and casualty insurance business includes specialty sub-segments: Property and transportation, which includes physical damage and liability coverage for buses and trucks and other specialty transportation niches, inland and ocean marine, agricultural-related products and other commercial property coverages; Specialty casualty, which includes primarily excess and surplus, executive and professional liability, general liability, umbrella and excess liability, and Specialty financial, which includes risk management insurance programs for lending and leasing institutions (including equipment leasing and collateral and lender-placed mortgage property insurance), fidelity and surety products and trade credit insurance.

Factor Profile

AFG's exposure to the major factors (100 is highest).

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Performance Disclaimer: Returns presented on are model returns and do not represent actual trading. As a result, they do not incorporate any commissions or other trading costs or fees. Model portfolios with inception dates on or after 12/30/2005 include a combination of back tested and live model returns. The back-tested performance results shown are hypothetical and are not the result of real-time management of actual accounts. The back-testing of performance differs from actual account performance because the investment strategy may be adjusted at any time, for any reason and can continue to be changed until desired or better performance results are achieved. Back-tested returns are presented to provide general information regarding how the underlying strategy behind the portfolio performed in our historical testing. A back-tested strategy has the benefit of hindsight and the results do not reflect the impact that material economic or market factors may have had on advisor's decision-making if actual client assets were being managed using this approach. The model portfolios offered on Validea are concentrated and as a result they will exhibit high levels of volatility and their performance can be substantially impacted by the performance of individual positions.

Optimal portfolios presented on represent the rebalancing period that has led to the best historical performance for each of our equity models. Each optimal portfolio was determined after the fact with performance information that was not available at portfolio inception. As a result, an investor could not have invested in the optimal portfolio since its inception. Optimal portfolios are presented to allow investors to quickly determine the portfolio size and rebalancing period that has performed best for each of our models in our historical testing.

Both the model portfolio and benchmark returns presented for all equity portfolios on are not inclusive of dividends. Returns for our ETF portfolios and trend following system, and the benchmarks they are compared to, are inclusive of dividends. The S&P 500 is presented as a benchmark because it is the most widely followed benchmark of the overall US market and is most often used by investors for return comparison purposes. As with any investment strategy, there is potential for profit as well as the possibility of loss and investors may incur a loss despite a past history of gains. Past performance does not guarantee future results. Results will vary with economic and market conditions. is a research provider that is owned and operated by The Reese Group, LLC. offers model portfolios, screening and stock analysis that is not customized to any individual. No information on should be construed as investment advice. Validea Capital Management is a separate investment advisory firm registered with the state of Connecticut. Validea Capital offers investment management services directly to clients and is a separate entity from The Reese Group, LLC. The Reese Group and Validea Capital are affiliated entities and share partial common ownership.