Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
MIL:1MUV2
Decide at what price you'd be comfortable buying and we'll help you stay ready.
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Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
MIL:1MUV2
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DE |
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N
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Nikkon Holdings Co Ltd
OTC:NIPKF
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JP |
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Davide Campari Milano NV
MIL:CPR
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IT |
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C
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CBIZ Inc
F:XC4
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US |
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Bradespar SA
F:FXM
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BR |
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Protara Therapeutics Inc
F:1KPA
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US |
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B
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Bed Bath & Beyond Inc
F:BBY
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US |
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M
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Medco Energi Internasional Tbk PT
XBER:MEF
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ID |
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G
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Goodbridge Capital Corp
XTSX:IDEX
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CA |
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H
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Hormel Foods Corp
XBER:HO7
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US |
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Archicom SA
F:696
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PL |
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T
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Trilogy Metals Inc
F:NK5A
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CA |
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O
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OrthoPediatrics Corp
F:2X7
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US |
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D
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D-Box Technologies Inc
F:DB2
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CA |
Dividends
Dividend Yield
Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
| Current Yield | |
| Min Yield | |
| Max Yield | |
| Average Yield | |
| Median Yield |
Dividend Per Share
Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
1MUV2 have increased by 349%.
Payout Ratio
Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
Peers Comparison
Dividends
Shareholder Yield
Current shareholder yield for
1MUV2 is
hidden
.
Peers Comparison
Shareholder Yield
Buybacks
Buyback Yield measures how much a company reduces its outstanding shares through repurchases, expressed as a percentage.
This metric directly reflects the company’s efforts to return value to shareholders. By reducing the number of shares, buybacks can increase earnings per share and potentially boost the stock's price.
Peers Comparison
Buybacks
Debt Paydown
Not Applicable
Due to the unique financial structures and regulatory environments of banks and insurance companies, the Debt Paydown metric is not applicable for Muenchener Rueckversicherungs Gesellschaft in Muenchen AG.
These institutions manage liabilities differently, focusing more on regulatory compliance and operational liabilities than traditional debt management, making standard debt paydown calculations irrelevant.
Price Appreciation
1MUV2 Price
Muenchener Rueckversicherungs Gesellschaft in Muenchen AG
| Average Annual Return | 21.24% |
| Standard Deviation of Annual Returns | 8.69% |
| Max Drawdown | -28% |
| Market Capitalization | 57.3B EUR |
| Shares Outstanding | 133 760 000 |
| Percentage of Shares Shorted |
N/A
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