Insurance
US · 86 stocks · 10/6 close
Rank history Last 12 weeks
10-0616
10-0215
09-2516
09-186
09-117
09-048
08-285
08-2110
08-148
08-077
07-315
07-24–
44.0Strength#16 of 26 sectors
4 weeks ago #7 ▼9
Weak · Weak and weakening
Versus the market A rising line means this sector outperformed the market.
By period Equal-weighted stock average
| Period | Sector | Market | vs market |
|---|---|---|---|
| 1W | +0.5% | +0.3% | +0.2%p |
| 1M | −7.5% | −2.6% | −4.9%p |
| 3M | −7.3% | −1.2% | −6.1%p |
| 6M | +6.6% | +10.0% | −3.4%p |
| 1Y | −0.3% | +7.7% | −8.0%p |
| YTD | −2.4% | +8.5% | −10.9%p |
Large-cap basis (market-cap weighted), 3M vs market −12.7%p
Strength inside the sector
15.3%Strong stocks (80+) 13
65.1%Stocks up today
16.3%Above 50-day average
3.5%Aligned averages
1 · 852-week high breakout · near
Strong stocks in this sector By strength
Oscar Health Class AVCP coiling · MACD golden crossStrength 95-0.25%Safety Insurance GroupMA aligned · 52w highStrength 92+0.05%United Fire GroupMA aligned · Near 52w highStrength 91+0.40%Heritage Insurance HoldingsVCP coilingStrength 89+0.53%Universal Insurance HoldingsNear 52w high · VCP coilingStrength 88-0.34%Corebridge FinancialNear 52w highStrength 85+0.95%CNO Financial GroupStrength 83+0.02%MetLifeNear 52w highStrength 83+0.29%Reinsurance Group of AmericaMA aligned · Near 52w highStrength 83+0.04%Manulife FinancialNear 52w highStrength 82-0.02%Industries
Average stock strength in each industry. The vertical line marks the Insurance sector average (44.0).
- 1Insurance (Life) 13 stocks53.3
- 2Insurance (Prop. & Casualty) 53 stocks42.2
- 3Insurance (Miscellaneous) 11 stocks31.6
Industries with fewer than 5 stocks: 7 · 9 stocksExpand ▾Collapse ▴
Insurance (Accident & Health)3 stocks
Fabricated Plastic & Rubber1 stocks
Construction Services1 stocks
Apparel/Accessories1 stocks
Consumer Financial Services1 stocks
Business Services1 stocks
Restaurants1 stocks
Industry classification: LSEG (2026-03-15). Stocks without a classification are excluded.
Rankings use past prices. They do not predict future returns.