⚠️ Not investment advice. This is a quantitative research tool; every decision is the user's own responsibility. Past performance does not guarantee future results.⚠️ Not investment advice. Past performance does not guarantee future results.
⚠️ Not investment advice. Past performance does not guarantee future results.
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Corebridge Financial CRBG

United States Financial Services
5.0/10
AI Analyst score
34.87 USD
Last price at analysis date · analyst target 38.83 (+11.4%)
🛒 Where to buy CRBGPartner brokers · US (NYSE/Nasdaq) · sample 200.00 € orderUS (NYSE/Nasdaq)
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🟡 HOLD — Hold or buy on dips, given the low forward P/E and revenue growth, but watch return on equity.

Corebridge Financial is a US insurer offering annuities, life insurance, and retirement solutions, generating income from premiums and investment returns. Corebridge shows revenue growth of 25.90% and a forward P/E of 6.04, suggesting an attractive valuation, although an ROE of 7.14% and a net margin of 4.65% indicate moderate profitability. The high-rate environment favors its investment portfolio.

Financial health
3.2
Quality / Moat
4.2
Valuation
3.3
Growth
8.8
Dividend
6.9
Momentum
4.9
Risk & Context
6.3

Detailed metrics

Market and fundamental data as of the analysis date.

💵 Valuation
P/E22.35
Fwd P/E6.04
EV/EBITDA9.72
P/B1.53
P/S0.80
PEGN/D
Market cap15.54 B USD
Enterprise value26.29 B USD
🏰 Quality and moat
ROIC (approx.)8.8%
Gross margin21.10%
FCF conversion24%
Operating margin11.11%
📈 Profitability and margins
ROE7.14%
ROA0.31%
Net margin4.65%
FCF642.2 M USD
FCF yield4.13%
🏦 Solvency and liquidity
Total debt14.47 B USD
Net debt9.53 B USD
Cash4.94 B USD
EBITDA2.71 B USD
Net debt / EBITDA3.52
D/E127.23
Current ratio1.22
Quick ratio0.19
🚀 Growth
Revenue growth25.90%
Earnings growthN/D
EPS (TTM)1.56 USD
EPS (Fwd)5.77 USD
💰 Dividend and risk
Dividend yield2.87%
Payout62.8%
Beta1.01
Analyst consensusBuy (12)
Target price38.83 USD
52-week range22.19 USD – 35.64 USD
⚠️ Main risk: Dependence on investment income in a high-rate environment, which could reverse if the Fed cuts rates, compressing the portfolio margin.
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Full AI report

Generated automatically from the metrics, the macro context and the company's news.

Corebridge Financial is a US insurer offering annuities, life insurance, and retirement solutions, generating income from premiums and investment returns. Corebridge shows revenue growth of 25.90% and a forward P/E of 6.04, suggesting an attractive valuation, although an ROE of 7.14% and a net margin of 4.65% indicate moderate profitability. The high-rate environment favors its investment portfolio.

Score by category

CategoryScore
Financial health3.2
Quality / Moat4.2
Valuation3.3
Growth8.8
Dividend6.9
Momentum4.9
Risk & Context6.3

OVERALL SCORE: 5.0/10

Context and risks

No specific regulatory, geopolitical, or business model risks materially affecting Corebridge. The high-rate environment is a positive factor for its investment portfolio, already reflected in the quantitative scores.

News considered in the analysis

  • 3 US Stocks To Watch As Higher Treasury Yields Reshape Cash Management — Los rendimientos más altos del Tesoro benefician los ingresos por inversiones de las aseguradoras, un factor positivo para el margen de Corebridge.
  • A GAAP Loss Masks What Corebridge (CRBG) Actually Earned This Quarter — La pérdida GAAP se debe a partidas no operativas; el beneficio subyacente es sólido, lo que respalda la calidad de las ganancias.
  • Jackson’s Record Quarter Powers the Bull Case — El trimestre récord de Jackson, su principal negocio de anualidades, refuerza la tesis alcista y la fortaleza del segmento clave.
  • Corebridge Financial Inc's Dividend Analysis — Análisis de dividendo sin información nueva; el payout del 62.82% ya es conocido.
  • EQH Stock Rallies 24% in 3 Months: Buy, Hold or Book Profits? — Noticia sobre un competidor (EQH), sin impacto directo en Corebridge.

Verdict: Hold or buy on dips, given the low forward P/E and revenue growth, but watch return on equity.

Main risk: Dependence on investment income in a high-rate environment, which could reverse if the Fed cuts rates, compressing the portfolio margin.

Other Financial Services companies

Neighbours in the sector ranking, to compare without going back to the index.

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Automatically generated analysis from fundamental, market and news data. Not personalised financial advice — a research tool, not an individual recommendation. Past performance does not guarantee future results. Last update of this analysis: 2026-09-28. Legal notice, privacy & cookies.