Hannover Re (HNR1d)

CBOE (Germany)Financial Services

€237.3
-€5 (-2.1%)
Last close

January 21, 2026 at 16:30 UTC

Interactive Chart
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About Hannover Re

Name

Hannover Re

CEO

Clemens Jungsthofel

Industry

Financial Services

Year Founded

1966

Employees

3,895

Hannover Re is a global reinsurer that assumes insurance risk and helps primary carriers manage capital over long horizons. The company writes property and casualty as well as life and health business, and it structures covers so cedents can match protection to local rules and balance-sheet needs. Portfolio steering relies on measured underwriting and on diversification that spreads exposure across many markets. Day-to-day work is handled through regional hubs that follow one control framework, which keeps wording, pricing logic, and claims routines comparable. Product changes are incremental because stability matters to counterparties and supervisors. Over time Hannover Re expanded its reach while preserving a single operating voice within the financials sector and the wider insurance ecosystem.

Analyst Ratings
Consensus Recommendation
Analyst consensus: 3 Buy, 4 Hold, 17 Sell
Buy3
Hold4
Sell17
Fundamentals & Financials
Revenue (TTM)
€1.2B
Net Income (TTM)
€2.4B
EPS (TTM)
€20.47
ROA (TTM)
3.51%
Current Ratio
0
Dividend Yield
0.1%

TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.

Income Statement (Quarterly)
ItemQ3 2025
Revenue€5,797.6M
Cost of Sales€0
Gross Profit€5,797.6M
Operating Income€716,700K
Net Income€650,800K
EPS€5.4
Technical Indicators

Hannover Re's Technical Indicators Summary

As of mid-session in Berlin, HNR1.DE exhibits a bearish trend supported by several key technical indicators. The ADX near 34 suggests a moderately strong downward momentum, while the MACD and RSI remain subdued, reflecting weakening momentum. The current price trades below all major moving averages, including the 200-day EMA near 260, reinforcing the prevailing downtrend. Despite a relatively stable volatility indicated by the ATR, volume metrics like OBV align with selling pressure. Additionally, the price lingers just below the VWAP and classic pivot level, further underscoring resistance around these points. Overall, the technical landscape points to continued bearish sentiment with limited signs of immediate reversal.

Buy
3 signals
Neutral
4 signals
Sell
17 signals
Overall: Bearish71% Bearish signals
IndicatorValue
RSI (14)
32.79
Stochastic %K (14, 3, 3)
15.02
CCI (20)
-85.05
WPR (14)
-89.44
Momentum (10)
-8.00
MFI
19.42
MACD Level (12, 26)
-3.98
Bollinger Bands
$234.90 - $271.90
ATR (14)
$4.03 (1.66%)
ADX (14)
33.95
OBV
285,637
VWAP
$242.42
Classic Pivot Point
$244.20
Fibonacci Pivot Point
$244.20
Simple Moving Averages
$245.32 - $261.48(5 indicators)
Exponential Moving Averages
$246.35 - $259.71(5 indicators)
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Today's Snapshot

By the final tick, sector performance was mildly positive (0.57%), giving a light assist to the overall tone. The session finished with a sizable pullback in the fear gauge, as VIX slid -13.64%. HNR1.DE's modest gains amid positive sector performance and easing fear gauge may suggest cautious optimism.

Price Change

from €242.4 close

€-4.6

Trading Volume

Below avg (172.5K)

103.5K

vs S&P 500 Today

Strong Underperformance

-5.72%

52-Week Position

Near lows

1.4%

Updated: January 21, 2026 at 16:05 UTC

Quote Summary
OpenPrevious Close
€240.2€242.4
Day Range52 Week Range
€236.6 - €241.2€236.6 - €292.6
VolumeAvg. Volume
188.4K102.6K
Market CapP/E Ratio
€28.5B11.6