--- title: "Arch Capital Pref Share ACGLN 4.55 Perp 06/11/26 G | 10-Q: FY2025 Q2 Revenue: USD 5.213 B" type: "News" locale: "en" url: "https://longbridge.com/en/news/251705723.md" datetime: "2025-08-05T20:47:17.000Z" locales: - [zh-CN](https://longbridge.com/zh-CN/news/251705723.md) - [en](https://longbridge.com/en/news/251705723.md) - [zh-HK](https://longbridge.com/zh-HK/news/251705723.md) generator: "portal-rs" --- # Arch Capital Pref Share ACGLN 4.55 Perp 06/11/26 G | 10-Q: FY2025 Q2 Revenue: USD 5.213 B Revenue: As of FY2025 Q2, the actual value is USD 5.213 B. EPS: As of FY2025 Q2, the actual value is USD 3.23. EBIT: As of FY2025 Q2, the actual value is USD 1.411 B. ### Insurance Segment - **Gross Premiums Written**: $2,681 million for Q2 2025, compared to $2,102 million for Q2 2024. - **Net Premiums Earned**: $1,969 million for Q2 2025, compared to $1,478 million for Q2 2024. - **Underwriting Income**: $129 million for Q2 2025, compared to $109 million for Q2 2024. - **Loss Ratio**: 59.8% for Q2 2025, compared to 57.3% for Q2 2024. - **Combined Ratio**: 93.4% for Q2 2025, compared to 92.6% for Q2 2024. ### Reinsurance Segment - **Gross Premiums Written**: $3,196 million for Q2 2025, compared to $2,941 million for Q2 2024. - **Net Premiums Earned**: $2,087 million for Q2 2025, compared to $1,780 million for Q2 2024. - **Underwriting Income**: $451 million for Q2 2025, compared to $366 million for Q2 2024. - **Loss Ratio**: 54.1% for Q2 2025, compared to 56.5% for Q2 2024. - **Combined Ratio**: 78.5% for Q2 2025, compared to 79.5% for Q2 2024. ### Mortgage Segment - **Gross Premiums Written**: $323 million for Q2 2025, compared to $340 million for Q2 2024. - **Net Premiums Earned**: $281 million for Q2 2025, compared to $307 million for Q2 2024. - **Underwriting Income**: $238 million for Q2 2025, compared to $287 million for Q2 2024. - **Loss Ratio**: -1.2% for Q2 2025, compared to -8.6% for Q2 2024. - **Combined Ratio**: 15.2% for Q2 2025, compared to 7.4% for Q2 2024. ### Consolidated Metrics - **Net Investment Income**: $405 million for Q2 2025, compared to $364 million for Q2 2024. - **Net Realized Gains (Losses)**: $229 million for Q2 2025, compared to $122 million for Q2 2024. - **Net Income Available to Arch Common Shareholders**: $1,227 million for Q2 2025, compared to $1,259 million for Q2 2024. ### Future Outlook and Strategy - **Core Business Focus**: The company aims to enhance its capabilities in the U.S. middle markets and enter new niche entertainment insurance markets through strategic acquisitions, such as the MCE Acquisition. - **Non-Core Business**: The company continues to manage its investment portfolio actively, including the use of derivative instruments to manage portfolio duration and enhance investment performance. ### Related Stocks - [ACGLN.US](https://longbridge.com/en/quote/ACGLN.US.md) ## Related News & Research - [Arch Capital Group prices $2B senior notes due 2036.& 2056 to refinance debt](https://longbridge.com/en/news/288484024.md) - [13,150 Shares in Arch Capital Group Ltd. $ACGL Bought by Kavar Capital Partners Group LLC](https://longbridge.com/en/news/281632494.md) - [Oil prices rise as latest fighting resurrects Middle East supply disruption risks](https://longbridge.com/en/news/297575875.md) - [ROI-Asia's refined fuel imports hit post-war low, can the Middle East help?: Russell](https://longbridge.com/en/news/297574471.md) - [ANALYSIS-Depleted US oil stash loses potency as Iran war grinds on](https://longbridge.com/en/news/297496754.md) --- > **Disclaimer: This article is for reference only and does not constitute any investment advice.**