COMPANY SUMMARY
Hamilton Insurance Group, Ltd., through its subsidiaries, operates as specialty insurance and reinsurance company in Bermuda and internationally. It operates Hamilton Global Specialty, Hamilton Select, and Hamilton Re underwriting platforms. The company offers casualty reinsurance products, such as commercial auto, general liability, healthcare, multiline, personal motor, professional liability, umbrella and excess casualty, and worker’s compensation and employer’s liability reinsurance; property reinsurance and insurance; and specialty reinsurance solutions, including accident and health, aviation and space, crisis management, mortgage, financial risks, marine and energy, and multiline specialty. It also provides accident and health, cyber, energy, environmental, financial lines, fine art and specie, kidnap and ransom, mergers and acquisitions, marine and energy liability, political risk and violence, professional liability, property binders, property direct and facultative, professional lines, space, upstream energy, excess casualty, war and terrorism, allied medical, products liability and contractors, management liability, medical professionals, general liability, and small business casualty insurance plans, as well as surety and treaty reinsurance products. The company was incorporated in 2013 and is headquartered in Pembroke, Bermuda.
Financial Summary
| Share Statistics |
HG |
Industry Median |
Percentile (All Stocks) |
| Market Cap (Mil) |
$3,447.6 |
$6,453.5 |
61% |
|
| Shares Out (Mil) |
101.1 |
66.0 |
62% |
|
| Institutional Ownership |
93.5% |
81.0% |
63% |
|
| Float (Mil) |
47.3 |
66.5 |
46% |
|
| Beta |
0.44 |
0.52 |
25% |
|
| Avg Daily Volume (000s) |
334 |
218 |
52% |
|
Price Change (52-week) |
46.8% |
89.8% |
77% |
|
| Growth |
HG |
Industry Median |
Percentile (All Stocks) |
| Sales (5yr) |
17.0% |
5.8% |
77% |
|
| Net Income (5yr) |
25.1% |
14.3% |
80% |
|
| EPS (5yr) |
25.0% |
15.6% |
75 |
|
| Dividends (5yr) |
0.0% |
3.1% |
0% |
|
| Cash Flow (5yr) |
(24.4%) |
(12.2%) |
26% |
|
| Estimates |
Qtrly |
Current Fiscal Year |
Next Fiscal Year |
| # of Estimates |
6 |
7 |
7 |
| Current EPS |
$0.780 |
$4.984 |
$4.736 |
| Month Ago EPS |
$0.749 |
$4.617 |
$4.663 |
| # Rev Up |
1 |
0 |
0 |
| # Rev Down |
0 |
1 |
1 |
| Three Months Ago EPS |
$0.744 |
$4.551 |
$4.701 |
| Year/Year Chg |
(45.1%) |
(10.2%) |
(5.1%) |
| Financials |
HG |
Industry Median |
Percentile (All Stocks) |
| Sales (TTM) (Mil) |
$2,992 |
$5,268 |
66% |
|
| Net Income (TTM) (Mil) |
$586 |
$562 |
80% |
|
| EPS (TTM) |
$5.902 |
$2.500 |
89% |
|
| Operating Cash Flow (TTM) (Mil) |
$815 |
$632 |
78% |
|
| Net Cash Flow (TTM) (Mil) |
($242) |
$6 |
9% |
|
| Long-Term Debt (Q1) (Mil) |
$150 |
$917 |
47% |
|
| Enterprise Value (Q1) (Mil) |
$2,943 |
$7,912 |
54% |
|
| Valuation |
HG |
Industry Median |
Percentile (All Stocks) |
| P/B |
1.21 |
1.70 |
29% |
|
| P/E |
6.1 |
12.1 |
6% |
|
| Dividend Yield |
0.0% |
1.1% |
0% |
|
| PEG (5yr hist) |
0.2 |
0.5 |
10% |
|
| Ratios |
HG |
Industry Median |
Percentile (All Stocks) |
| Gross Margin |
38.6% |
34.7% |
48% |
|
| Net Margin |
19.6% |
10.1% |
78% |
|
| ROA |
6.1% |
2.4% |
76% |
|
| ROE |
21.7% |
14.6% |
81% |
|
| Liabilities to Assets |
71.5% |
77.1% |
67% |
|
| F-Score |
7 |
6 |
82% |
|
Passing Stock Screens
As of 8/21/2026, from a list of 60 stock screening strategies,
HG meetings the criteria of 1 screen:
Stock Screen
GURU STRATEGY
Neff Screen
Factors: Value, Growth
An approach using a stringent contrarian viewpoint—finding undervalued, out-of-favor stocks in the bargain basement that have an optimistic future.