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Allianz SE ALIZF · Stock Open Allianz SE in new tab

488.79 USD
P/E
13.76
EPS
35.52
Yield
3.95%
Safety Score
92
P/B
2.47
ROE
18.71
Beta
0.67
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Key Metrics
Earnings dateAug. 7, 2026
P/E13.76
EPS35.52
Book Value197.83
Price to Book2.47
Debt/Equity53.17
% Insiders0.006%
Growth
Revenue Growth0.09%
Earnings Growth0.52%
Dividend
Dividend Yield3.95%
Annual dividends17.10 USD
Ex-Div. DateMay 11, 2026
Payout49.19%
5y avg Yield4.85%

DCF Valuation

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Currency: USD
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Percent number (e.g., 10 = 10%).
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DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Allianz SE Logo Allianz SE Analysis (ALIZF)

Germany Financials Official Website Stock

Is Allianz SE a good investment? Allianz SE (ALIZF) is currently trading at 488.79 USD.

In terms of valuation, the stock trades at a P/E ratio of 13.76. This relatively low multiple may signal that Allianz SE is undervalued compared to historical market norms.

Earnings Schedule: Allianz SE is expected to release its next earnings report on Aug. 7, 2026.

For income investors, Allianz SE pays a dividend yield of 3.95%. With a payout ratio of 49%, the dividend appears sustainable.

Investor FAQ

Does Allianz SE pay a dividend?

Yes, it pays an annual dividend of 17.10 USD (3.95% yield).

What asset class is Allianz SE?

Allianz SE is classified as a Stock. You can compare it against 2 other assets in the "Related Symbols" list on this page.

When is the next earnings date?

The next earnings date is projected to be Aug. 7, 2026. The company currently has a trailing EPS of 35.52.

Company Profile

Allianz SE, together with its subsidiaries, provides property-casualty insurance, life/health insurance, and asset management products and services worldwide. The company's Property-Casualty segment offers various insurance products, including motor liability, accident, fire and property, general liability, credit, and travel, and assistance services to private and corporate customers. Its Life/Health segment provides a range of life and health insurance products on an individual and a group basis, such as annuities, endowment and term insurance, and unit-linked and investment-oriented products, as well as private and supplemental health, and long-term care insurance products. The company's Asset Management segment offers institutional and retail asset management products and services to third-party investors comprising equity and fixed income funds, cash, and multi-assets; and alternative investment products that include real estate, infrastructure debt/equity, real assets, liquid alternatives, and solutions business. In addition, it provides banking services for retail clients; and digital investment services. Allianz SE was founded in 1890 and is headquartered in Munich, Germany.

Exchange Ticker
PNK (United States) ALIZF
GER (Germany) ALV.DE
Trades
Dividend Yield
3.95%
5y avg 4.85%
Annual Dividends
17.10USD
Next Ex. Div Date
May 11, 2026
Payout Ratio
49.19%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
22.03 USD
May 10, 2027 (estimated) 22.0314
2026
40.21 USD
May 12, 2026 20.1436
May 8, 2026 20.0620
2025
34.40 USD
May 13, 2025 17.1019
May 9, 2025 17.2940
2024
14.84 USD
May 13, 2024 14.8380
2023
12.56 USD
May 9, 2023 12.5610
2022
11.48 USD
May 9, 2022 11.4760
2021
11.53 USD
May 10, 2021 11.5300
2020
10.36 USD
May 11, 2020 10.3630
2019
10.07 USD
May 13, 2019 10.0730
2018
9.48 USD
May 14, 2018 9.4810
2017
8.27 USD
May 8, 2017 8.2730
2016
8.39 USD
May 5, 2016 8.3860
2015
7.77 USD
May 7, 2015 7.7730
2014
7.37 USD
May 8, 2014 7.3720
2013
5.93 USD
May 8, 2013 5.9294
2012
5.83 USD
May 10, 2012 5.8315
2011
6.56 USD
May 5, 2011 6.5620
2010
5.20 USD
May 6, 2010 5.2023
2009
4.64 USD
April 30, 2009 4.6354
2008
8.65 USD
May 22, 2008 8.6517
2007
5.15 USD
May 3, 2007 5.1505
2006
2.53 USD
May 4, 2006 2.5287
2005
2.27 USD
May 5, 2005 2.2670
2004
1.83 USD
May 6, 2004 1.8254
2003
1.66 USD
April 30, 2003 1.6629
2002
1.42 USD
June 13, 2002 1.4162
2001
1.29 USD
July 12, 2001 1.2891
2000
1.18 USD
July 13, 2000 1.1781
1999
1.15 USD
July 8, 1999 1.1464
1998
1.04 USD
July 9, 1998 1.0395
1997
0.97 USD
July 11, 1997 0.9659
1996
10.49 USD
Oct. 8, 1996 10.4880
1995
10.55 USD
Oct. 6, 1995 10.5450
1994
32.45 USD
Oct. 7, 1994 32.4450
1993
8.33 USD
Oct. 7, 1993 8.3295
1992
9.64 USD
Oct. 5, 1992 9.6404
1991
8.11 USD
Oct. 4, 1991 8.1081
1990
10.42 USD
Oct. 5, 1990 10.4192
1989
6.40 USD
Oct. 5, 1989 6.3960
1988
6.45 USD
Oct. 6, 1988 6.4452
1987
6.52 USD
Oct. 2, 1987 6.5196
1986
5.98 USD
Oct. 2, 1986 5.9760
1985
3.63 USD
June 28, 1985 3.6344
Upcoming Dividends
Name Payment Date Status Amount
Allianz SE May 12, 2026 20.1436 USD
Allianz SE May 08, 2026 20.062 USD
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