Hannover Re (HNR1d)

FRAFinancial Services

€265.5
+€0.69 (+0.3%)

April 28, 2026 at 13:37 UTC

Interactive Chart

HNR1d

13:37:46 UTC

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: 5 Buy, 15 Hold, 3 Sell
Buy5
Hold15
Sell3

Fundamentals & Financials

Revenue (TTM)
€23.9B
Net Income (TTM)
€2.5B
EPS (TTM)
€21.89
ROA (TTM)
3.63%
Current Ratio
0
Dividend Yield
3.78%

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

ItemQ4 2025
Revenue€7,089.4M
Cost of Sales€0
Gross Profit€7,089.4M
Operating Income€0
Net Income€624,000K
EPS€5.6

Technical Indicators

Hannover Re's Technical Indicators Summary

HNR1d is neutral, reflecting mixed momentum and only modest trend evidence: ADX is around the mid-20s while RSI is mildly bullish and MACD is marginally positive, and the price trades near short-term EMA levels with several medium-term EMAs running below the current market. Volatility is subdued with a low ATR and on-balance volume flat, suggesting limited conviction among participants, while the classic pivot sits slightly above the market as nearby resistance. Technical takeaway: neutral, with balanced signals and no clear directional edge.

Buy
5 signals
Neutral
15 signals
Sell
3 signals
Overall: Neutral65% Neutral signals
IndicatorValue
RSI (14)
59.11
Stochastic %K (14, 3, 3)
CCI (20)
WPR (14)
Momentum (10)
-2.00
MFI
66.55
MACD Level (12, 26)
4.91
Bollinger Bands
ATR (14)
$4.77 (1.74%)
ADX (14)
24.77
OBV
-80,618
Classic Pivot Point
$277.80
Fibonacci Pivot Point
$277.80
Simple Moving Averages
$275.14 - $275.14(5 indicators)
Exponential Moving Averages
$259.18 - $274.78(5 indicators)
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Today's Snapshot

A small early pop has HNR1d 0.83% over yesterday’s close of 265.00, trading at 267.20. Liquidity is thin; current participation stands at only 0.17× the usual flow. HNR1d edges higher on thin liquidity, with light participation amplifying a cautious broader-market drift.

Price Change

from €264.8 close

+€1

Trading Volume

Below avg (141.2K)

24.3K

vs S&P 500 Today

Outperforming Market

+2.08%

52-Week Position

Mid-range

57.4%

Updated: April 28, 2026 at 11:32 UTC

Quote Summary

OpenPrevious Close
€276.2€275
Day Range52 Week Range
€271.8 - €276.8€233 - €292.6
VolumeAvg. Volume
140.2K153K
Market CapP/E Ratio
€33.1B12.6