Compare Stocks: AFL vs. CB vs. PGR vs. TRV

Compare normalized stock price performance over 6 months, 1 year or 2 years. Each line starts at 0%, so different stock prices can be compared on the same scale.
AFLCBPGRTRV
$116.07$340.99$219.28$363.58

Market Snapshot

Current market context for the selected companies.

Performance

Absolute returns and relative performance versus SPY.

Metric AFLCBPGRTRV
1 Month-0.8%-3.5%+5.9%-3.4%
1 Month vs SPY-4.5%-7.2%+2.2%-7.1%
3 Months+2.7%+3.2%+10.2%+18.3%
3 Months vs SPY-0.4%+0.2%+7.1%+15.2%
6 Months+7.5%+2.8%+7.4%+19.2%
6 Months vs SPY-3.6%-8.2%-3.6%+8.2%
1 Year+15.4%+21.9%-13.2%+32.5%
1 Year vs SPY-4.6%+1.9%-33.2%+12.5%
2 Years+24.7%-7.0%+67.9%
2 Years vs SPY-13.4%-45.2%+29.7%

Growth & Profitability

Operating growth, margins and capital efficiency.

Metric AFLCBPGRTRV
Revenue Growth6.1%7.3%0.3%
Earnings Growth-0.7%5.0%57.1%
Gross MarginN/AN/AN/AN/A
Operating Margin23.5% · Context18.2% · Context23.7% · Context
Net Margin18.1%12.8%17.0%
Return on Equity14.8%34.9%26.5%
Return on Assets3.4% · Context7.8% · Context4.8% · Context

Valuation

Common valuation multiples shown side by side.

Metric AFLCBPGRTRV
P / E12.111.19.8
Forward P / E11.713.512.0
P / S2.11.41.6
P / B1.83.72.3
EV / Sales2.5 · Context1.5 · Context1.6 · Context
EV / EBIT10.6 · Context8.1 · Context6.9 · Context
P / FCF12.6 · Context8.5 · Context5.1 · Context
FCF Yield7.9% · Context11.8% · Context19.4% · Context

Cash Flow & Balance Sheet

Cash generation and leverage context.

Metric AFLCBPGRTRV
Free Cash Flow$10.49B · Context$15.11B · Context$14.78B · Context
Operating Cash Flow$15.38B · Context$16.34B · Context$11.03B · Context
Debt / Equity30.9% · Context24.4% · Context27.4% · Context

Earnings Outlook

Upcoming earnings expectations when available.

Metric AFLCBPGRTRV
Next Earnings2026-10-272026-10-142026-10-15
EPS Estimate6.343.906.83
Revenue Estimate13.47B22.19B11.02B
EPS Growth-15.3%-3.8%-16.1%
Revenue Growth+4.1%+3.8%-1.1%
Analyst Coverage222024