Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
MUV2 · Xetra · Germany
munichre.comFinancials as of FY2025
At a glance
- Depends onMidstream position: 6 outgoing, 5 incoming connections
- ScaleMarket cap is $75.9B, higher than 95% of all stocks globally
Sign in to view price data.
Sign inWhat the company actually pays, and whether its own cash supports it.
Dividends view
Yield
4.65%Above 5Y avg (3.61%)
Annual Rate
EUR 24.00Paid annual
Payout Ratio
44.6%Sustainable
Payback Period
21.5 yr
Last Ex-Dividend
Apr 30, 2026
The reported statements, read against the company's own industry.
Financials view
Market Capitalization
64.97BEUR75.90B · vs all stocks (USD)
Trailing P/E
9.54xRevenue (TTM)
61.54BEUR71.90B · vs all stocks (USD)
Profit Margin
11.16%Beta
0.3270xvs all stocks
52-Week Change
-6.55%vs all stocks
Market Capitalization
64.97BEUR75.90B · vs all stocks (USD)
Enterprise Value
67.31BEUR78.64B · vs all stocks (USD)
Trailing P/E
9.54xForward P/E
9.92xPEG Ratio
0.9751xPrice to Sales (TTM)
1.05xPrice to Book (MRQ)
1.92xEnterprise to Revenue
1.09xProfit Margin
11.16%Operating Margin
17.33%Return on Assets (TTM)
2.16%Return on Equity (TTM)
21.30%Revenue (TTM)
61.54BEUR71.90B · vs all stocks (USD)
Revenue per Share (TTM)
481.20EURUpdated Aug 22, 2026Quarterly Revenue Growth
1.30%Gross Profit (TTM)
21.81BEUR25.48B · vs all stocks (USD)
EBITDA (TTM)
0.00EURvs all stocks (USD)
Net Income (TTM)
6.87BEUR8.03B · vs all stocks (USD)
Quarterly Earnings Growth (YoY)
6.60%Operating Cash Flow (TTM)
6.59BEUR7.70B · vs all stocks (USD)
Levered Free Cash Flow (TTM)
6.89BEUR8.05B · vs all stocks (USD)
Trailing Annual Dividend Rate
24.00EURUpdated Aug 22, 2026Trailing Annual Dividend Yield
4.65%vs all stocks
5-Year Average Dividend Yield
3.61%vs all stocks
Payout Ratio
44.63%Minority Interest (Equity)
173.00MEURFY2025 · Dec 31, 2025Revenue
62.31BEURFY2025 · Dec 31, 2025Pre-tax Income
8.63BEURFY2025 · Dec 31, 2025Income Tax Expense
2.51BEURFY2025 · Dec 31, 2025Net Income
6.12BEURFY2025 · Dec 31, 2025EBIT
9.00BEURFY2025 · Dec 31, 2025Selling, General & Administrative
9.33BEURFY2025 · Dec 31, 2025Other Operating Expenses
2.34BEURFY2025 · Dec 31, 2025Non-operating Interest Income
198.00MEURFY2025 · Dec 31, 2025Non-operating Interest Expense
369.00MEURFY2025 · Dec 31, 2025Net Income from Continuing Operations
6.12BEURFY2025 · Dec 31, 2025Minority Interests (P&L)
-3.00MEURFY2025 · Dec 31, 2025Operating Cash Flow
2.62BEURFY2025 · Dec 31, 2025Free Cash Flow
2.47BEURFY2025 · Dec 31, 2025Cash & Cash Equivalents (End of Period)
5.51BEURFY2025 · Dec 31, 2025Starting Profit (CF Statement)
6.12BEURFY2025 · Dec 31, 2025Other Non-cash Items
408.00MEURFY2025 · Dec 31, 2025Change in Other Assets/Liabilities
-3.91BEURFY2025 · Dec 31, 2025Capital Expenditures
-150.00MEURFY2025 · Dec 31, 2025Net Intangibles (CF)
-122.00MEURFY2025 · Dec 31, 2025Net Acquisitions
-1.19BEURFY2025 · Dec 31, 2025Other Investing Activity
1.00MEURFY2025 · Dec 31, 2025Net Investing Cash Flow
-1.33BEURFY2025 · Dec 31, 2025Long-term Debt Issuance
1.24BEURFY2025 · Dec 31, 2025Long-term Debt Payments
-199.00MEURFY2025 · Dec 31, 2025Common Stock Repurchase
-1.88BEURFY2025 · Dec 31, 2025Common Dividends Paid
-2.61BEURFY2025 · Dec 31, 2025Other Financing Charges
-372.00MEURFY2025 · Dec 31, 2025Net Financing Cash Flow
-3.82BEURFY2025 · Dec 31, 2025Shares Outstanding
125.81MSharesUpdated Aug 22, 2026Float Shares
125.81MSharesUpdated Aug 22, 2026% Held by Insiders
0.01%vs all stocks
% Held by Institutions
49.88%vs all stocks
Total Cash (MRQ)
5.82BEUR6.80B · vs all stocks (USD)
Total Cash per Share (MRQ)
46.25EURUpdated Aug 22, 2026Total Debt (MRQ)
8.22BEUR9.61B · vs all stocks (USD)
Total Debt to Equity (MRQ)
0.2438xCurrent Ratio (MRQ)
0.2760xBook Value per Share (MRQ)
266.75EURUpdated Aug 22, 2026Total Assets
279.93BEUR327.04B · vs all stocks (USD)
Total Liabilities
246.51BEURFY2025 · Dec 31, 2025Cash & Cash Equivalents
5.50BEURFY2025 · Dec 31, 2025Other Short-term Investments
170.70BEURFY2025 · Dec 31, 2025Inventory
6.00MEURFY2025 · Dec 31, 2025Long-term Debt
7.43BEURFY2025 · Dec 31, 2025Common Stock (Book)
7.42BEURFY2025 · Dec 31, 2025Retained Earnings
26.64BEURFY2025 · Dec 31, 2025Total Shareholders' Equity
33.42BEUR39.04B · vs all stocks (USD)
52-Week Low
437.40EURUpdated Aug 22, 202652-Week High
575.60EURUpdated Aug 22, 202652-Week Change
-6.55%vs all stocks
Beta
0.3270xvs all stocks
50-Day MA
500.94EURUpdated Aug 22, 2026200-Day MA
519.72EURUpdated Aug 22, 2026Avg 10-Day Volume
238.47KSharesUpdated Aug 22, 2026Avg 30-Day Volume
256.65KSharesUpdated Aug 22, 2026Diluted EPS (TTM)
53.78EURUpdated Aug 22, 2026Other Income / Expense
-1.43BEURFY2025 · Dec 31, 2025Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Supply Chain
Midstream position: 6 outgoing, 5 incoming connectionsNotable
Outgoing: 6.00Incoming: 5.00
High connectivity hub: 11 industry connectionsNotable
Total Connections: 11.00
Scale
Market cap is $75.9B, higher than 95% of all stocks globallySignificant
Market cap (USD): 75,902,545,299.452Global P95: 25,614,208,870.135
Revenue is $71.9B, higher than 95% of all stocks globallySignificant
Revenue (USD): 71,895,887,688.008Global P95: 14,667,937,174.886
Levered free cash flow is $8.05B, higher than 95% of all stocks globallySignificant
Levered free cash flow (USD): 8,048,873,405.307Global P95: 1,123,592,359.78
Companies that share the same coordination system — how they create, deliver, or capture value.
The Cigna Group
Tier 1RiskFloat-Funded Risk AbsorptionFlowInterface
Elevance Health, Inc.
Tier 1RiskFloat-Funded Risk AbsorptionFlowInterface
Assicurazioni Generali S.p.A.
Tier 1RiskFloat-Funded Risk AbsorptionInterfaceFlow
Fubon Financial Holding Co., Ltd.
Tier 1RiskFloat-Funded Risk AbsorptionInterfaceFlow
Swiss Re AG
Tier 1RiskFloat-Funded Risk AbsorptionFlowProduction
Humana Inc.
Tier 1RiskFloat-Funded Risk AbsorptionFlowInterface
Sun Life Financial Inc.
Tier 1RiskFloat-Funded Risk AbsorptionInterfaceSenseMaking
CVS Health Corporation
Tier 1RiskFloat-Funded Risk AbsorptionFlowInterface
Prudential Financial, Inc.
Tier 1RiskFloat-Funded Risk AbsorptionInterfaceFlow
Hannover Rück SE
Tier 1RiskFloat-Funded Risk AbsorptionFlowProduction