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BRO

Brown & Brown, Inc. (S&P 500)

Financial Services — Insurance Brokers

Brown & Brown, Inc. markets and sells insurance products and services in the United States, the United Kingdom, and internationally. It operates through Retail and Specialty Distribution segments. The Retail segment provides property and casualty insurance products, employee benefits insurance products, personal insurance products, specialties insurance products, risk management strategies, loss control surveys and analysis, consulting, and claims processing services. This segment also offers non-insurance services and products through automobile and recreational vehicle dealer services businesses. It serves commercial, public and quasi-public entities, professionals, and individual customers. The Specialty Distribution segment comprises wholesale brokerage and specialty businesses. This segment offers professional liability and related package insurance products for dentistry, legal, eyecare, financial services, physicians, and real estate title professionals, as well as supplementary insurance products related to weddings, events, medical facilities, and cyber liabilities. This segment also provides public entity-related and specialty programs through a network of independent agents, as well as program management services for insurance carrier partners. In addition, the company's wholesale brokerage businesses underwrite and place excess and surplus commercial and personal lines insurance through independent agents and brokers. Its program businesses operate under the Arrowhead Programs name. The company was formerly known as Poe & Brown, Inc. and changed its name to Brown & Brown, Inc. in April 1999. Brown & Brown, Inc. was founded in 1939 and is headquartered in Daytona Beach, Florida.

Hold 2.8 / 5 16 analysts
$61.77
+$0.87 (+1.43%)
Target: $76.06 (23.1%)

Price History

52-Week Range
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Fundamentals

Market Cap$20.67B
P/E Ratio (TTM)19.73
Forward P/E12.83
EPS (TTM)$3.13
Dividend Yield1.08%
Profit Margin18.08%
Revenue Growth32.40%
ROE10.02%
Debt/Equity63.98
Recommendation Hold 2.8
Analyst Target$76.06
Analysts16
Next Earnings Oct 26, 2026 AMC
Indexes S&P 500

Technical Indicators

RSI (14)32.7
Beta0.58
SMA 20$64.79
SMA 40$68.28
52-Week High$96.55
52-Week Low$53.81
50-Day Avg$68.83
200-Day Avg$68.14
Avg Volume$2.29M
Volume$2.80M

Performance Analysis

NEUTRAL

BRO presents a mixed picture with both positive and negative indicators.

~ Trading at 19% of its 52-week range.
~ RSI at 32.7 is in neutral territory.
- Price is below both the 50-day and 200-day moving averages — in a downtrend.
+ Strong revenue growth of 32.4% year-over-year.
~ Wall Street consensus is "Hold" from 16 analysts.
+ Average analyst target of $76.06 implies 23.1% upside.

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Last updated: Oct 01, 2026 21:00 UTC

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