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Beazley plc

BEZ.LFinancial ServicesLSE

Insurance - Specialty

PriceMA150MA200
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Indicator snapshot
MA150+17.67%
$1088.61

Price above medium-term moving average.

MA200+24.76%
$1026.79

Above long-term trend line.

RSI-14neutral
62.2

Balanced. Not overbought, not oversold.

MACDnegative
-0.4925

Histogram negative — downward momentum.

Financials · Annual
Revenue
$1.06B
+4.4% YoY
Net Income
$913.4M
-19.2% YoY
Free Cash Flow
$263.9M

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About Beazley plc

Beazley plc, through its subsidiaries, provides risk insurance and reinsurance solutions in the United States, the United Kingdom, and rest of Europe. At a $7.57B market cap, Beazley plc ranks as a mid-cap company within financial services. The company operates through Cyber Risks, Digital, MAP Risks, Property Risks, and Specialty Risks segments.

Key stats
Market Cap$7.57B
P/E (TTM)11.86
Fwd P/E12.79
EPS$1.08
Beta0.28
52W Change+35.7%
Dividend Yield1.95%
ROE19.3%
Analysis

With $11.71B in cash and $637.2M in debt, BEZ.L maintains more liquidity than leverage. This favorable balance sheet position can be an asset when capital markets become less accommodating. The company generates $263.9M in free cash flow annually, which funds everything from R&D to shareholder returns without needing external financing. Return on equity stands at 19.3%, which is strong for the sector. ROE measures how effectively a company uses shareholder capital to generate profits. An ROA of 6.0% suggests reasonable efficiency in deploying the company's asset base. Revenue has grown from $51.3M (2022) to $1.06B (2025), reflecting a 1963% increase over the period.

With a beta below 0.7, Beazley plc typically sees smaller price swings than the overall market, offering a degree of stability during turbulent periods. The strong cash position relative to debt provides a financial cushion that reduces balance sheet risk. It is important to consider these factors alongside broader market conditions and individual financial goals when reviewing BEZ.L.

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