BackAmerican Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25 Overview
American Financial Group Inc - 5.625% DB REDEEM 01/06/2060 USD 25

American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25 Return on Equity

Valuation check: AFGD's ROE is 19.77%, above the Finance sector average of 16.73%.

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ROE

19.77%

Return on Equity

19.77%

Return on Equity measures how efficiently a company uses shareholders' equity to generate profits. A higher ROE indicates better profitability relative to equity.

ROE (Comparison Companies)

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ROE History

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ROE Comparison

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American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25 (AFGD) FAQ

American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25's return on equity stands at 19.77%. That is above the Finance sector average of 16.73%. Stockcircle updates this page with the newest filings so you can track how the metric evolves quarter by quarter.

American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25 sits higher the Finance benchmark (16.73%) with a ROE of 19.77%. That is roughly 18.2% above the sector mean. Peer context matters because what looks expensive or cheap in absolute terms can be normal for the sector.

A ROE of 19.77% for American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25 means each unit of related capital or sales is generating that return rate. Higher is usually better for profitability metrics, but extremely high figures can reflect one-time items or thin equity bases. Review several years of data on this page before extrapolating.

The history chart shows how American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25's ROE evolved across reporting periods, while the comparison chart places AFGD next to similar companies. Use both: a rising metric that still lags peers tells a different story than a rising metric that already leads the group. Growth charts, when available, highlight acceleration or slowdown.

Yes — within Finance, ROE is commonly used to spot outliers. American Financial Group- 5.625% DB REDEEM 01/06/2060 USD 25's reading of 19.77% (sector avg 16.73%) is a starting point; confirm whether differences come from growth, margins, accounting choices, or one-time items before treating an outlier as a buy or sell signal.