
IGIC
USDInternational General Insurance Holdings Ltd. Ordinary Share
Prix en Temps Réel
Graphique des Prix
Métriques Clés
Métriques de Marché
Ouverture
$22.140
Haut
$22.639
Bas
$21.770
Volume
0.23M
Fondamentaux de l'Entreprise
Capitalisation Boursière
946.9M
Industrie
Insurance - Diversified
Pays
Jordan
Statistiques de Trading
Volume Moyen
0.08M
Bourse
NCM
Devise
USD
Intervalle sur 52 Semaines
Rapport d'Analyse IA
Dernière mise à jour: 3 nov. 2025IGIC Analysis: International General Insurance Shows Mixed Signals Amid Strong Ratings Upgrades
News Sentiment Impact (Positive)
- Ratings boost: S&P upgraded IGI's financial strength to "A" (Strong) on Oct 28, following AM Best's "A" affirmation on Oct 21
- Leadership move: Appointment of London-based Specialty Treaty head (Oct 27) signals market expansion plans
- Industry confidence: Back-to-back rating upgrades suggest strong balance sheet fundamentals
Recent Price Behavior (Bearish Trend)
- 52-week context: Shares near bottom of $21.12-$27.76 range (current: $21.30)
- October slump: 13% price decline since Oct 1, with accelerated selling in final week
- Volume spikes: 160k shares traded on Oct 31 - nearly double average volume
- Key technical levels:
- Immediate support at $21.32 (Bollinger Band lower boundary)
- Resistance forming near $23.00
Predictive Outlook (Conflicting Signals)
Short-term projections (next 3 days):
- Day 1: +1.45% ($21.61 projected)
- Day 2: +0.68% ($21.75 projected)
- Day 3: -0.48% ($21.65 projected)
Confidence factors:
- AI models show unusually high 94% confidence score
- Technical indicators conflict (bullish volume vs bearish MACD crossover)
- Ratings news likely to counterbalance negative momentum
Actionable Considerations
- Entry watchpoints:
- Conservative: $21.32-$21.59 range (historical support zone)
- Aggressive: Current levels near 52-week low
- Exit strategy:
- Take-profit: $21.66 (near-term resistance)
- Stop-loss: $19.12 (15% downside buffer)
- Investor fit:
- Best suited for value investors comfortable with insurance sector volatility
- Medium-term horizon (1-3 months) recommended
Key Risk Factors
- Revenue contraction (-2% YoY) despite strong ratings
- Low trading liquidity could amplify price swings
- Mixed technical signals increase near-term uncertainty
Analysis valid through November 6, 2025
Disclaimer: This analysis represents an objective interpretation of provided data, not personalized investment advice. Market conditions change rapidly - conduct your own due diligence before making trading decisions. Past performance doesn't guarantee future results.
Actualités Connexes
IGI's Financial Strength Rating Upgraded to "A" (Strong)/Stable by S&P Global Ratings
International General Insurance Holdings Ltd. ("IGI" or the "Company") (NASDAQ:IGIC) today announced that rating agency S&P Global Ratings ("S&P") has upgraded the Company's financial strength rating to "A" from
IGI Appoints Malcolm Barnes as Head of Specialty Treaty
International General Insurance Holdings Ltd. ("IGI" or the "Company") (NASDAQ:IGIC) today announced that London market professional Malcolm Barnes has joined the Company as Head of Specialty Treaty, based in its London
AM Best Affirms Credit Ratings of International General Insurance Holdings Ltd. and Its Subsidiaries
AM Best has affirmed the Financial Strength Rating of A (Excellent) and the Long-Term Issuer Credit Ratings (Long-Term ICR) of "a" (Excellent) of International General Insurance Co. Ltd., (IGICL) (Bermuda),
Prédiction IABeta
Recommandation IA
Mis à jour le: 10 nov. 2025, 11:49
64.2% Confiance
Risque et Trading
Point d'Entrée
$21.88
Prise de Bénéfices
$22.33
Stop Loss
$19.70
Facteurs Clés
Actions Connexes
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