IGIC

IGIC

USD

International General Insurance Holdings Ltd. Ordinary Share

$21.930-0.210 (-0.949%)

वास्तविक समय मूल्य

वित्तीय सेवाएँ
Insurance - Diversified
जॉर्डन

मूल्य चार्ट

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मुख्य मीट्रिक्स

बाजार मीट्रिक्स
कंपनी के मौलिक सिद्धांत
ट्रेडिंग आँकड़े

बाजार मीट्रिक्स

खुलना

$22.140

उच्च

$22.639

कम

$21.770

मात्रा

0.23M

कंपनी के मौलिक सिद्धांत

बाजार पूंजीकरण

946.9M

उद्योग

Insurance - Diversified

देश

Jordan

ट्रेडिंग आँकड़े

औसत मात्रा

0.08M

एक्सचेंज

NCM

मुद्रा

USD

52-सप्ताह रेंज

कम $20.82वर्तमान $21.930उच्च $27.76

AI विश्लेषण रिपोर्ट

अंतिम अपडेट: 3 नव॰ 2025
AI-जनितडेटा स्रोत: Yahoo Finance, Bloomberg, SEC

IGIC 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

  1. Entry watchpoints:
  • Conservative: $21.32-$21.59 range (historical support zone)
  • Aggressive: Current levels near 52-week low
  1. Exit strategy:
  • Take-profit: $21.66 (near-term resistance)
  • Stop-loss: $19.12 (15% downside buffer)
  1. 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.

संबंधित समाचार

BusinessWire

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

और देखें
IGI's Financial Strength Rating Upgraded to "A" (Strong)/Stable by S&P Global Ratings
BusinessWire

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

और देखें
IGI Appoints Malcolm Barnes as Head of Specialty Treaty
BusinessWire

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),

और देखें
AM Best Affirms Credit Ratings of International General Insurance Holdings Ltd. and Its Subsidiaries

AI भविष्यवाणीBeta

AI सिफारिश

तेजी

पर अपडेट किया गया: 10 नव॰ 2025, 11:49 am

मंदीतटस्थतेजी

64.2% आत्मविश्वास

जोखिम और ट्रेडिंग

जोखिम स्तर3/5
मध्यम जोखिम
के लिए उपयुक्त
मूल्य
ट्रेडिंग गाइड

प्रवेश बिंदु

$21.88

लाभ लें

$22.33

स्टॉप लॉस

$19.70

मुख्य कारक

डीएमआई मंदी की प्रवृत्ति दिखाता है (ADX:21.2, +DI:7.7, -DI:10.1), सावधानी बरतने का सुझाव देता है
वर्तमान मूल्य समर्थन स्तर (21.88 $) के बेहद करीब है, जो मजबूत खरीद अवसर का सुझाव देता है
ट्रेडिंग वॉल्यूम औसत (1,628) का 2.6 गुना है, जो महत्वपूर्ण खरीदारी रुचि दिखाता है
एमएसीडी -0.0453 सिग्नल लाइन -0.0570 से ऊपर है, जो तेजी के क्रॉसओवर का संकेत देता है

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