Arch Capital Group Ltd.

ACGL · Financial Services

About Arch Capital Group Ltd. (ACGL)

Arch Capital Group Ltd. is a Insurance - Diversified company operating in the Financial Services sector.

ACGL trades on the US stock exchanges (NYSE/NASDAQ) and is classified as a large-cap stock .

Sector
Financial Services
Industry
Insurance - Diversified

Key Statistics

Current Price
$93.66
Market Cap
$33.96B
52-Week High
$103.39
52-Week Low
$82.45
Sector
Financial Services
Industry
Insurance - Diversified

$1,000 Invested in Arch Capital Group Ltd. (ACGL)

1 Year
$1,018
+2%
3 Years
$1,560
+56%
5 Years
$2,620
+162%
10 Years
$4,227
+323%
Since IPO
$41,716
+4072%

How much would $1,000 invested in ACGL be worth today?

What would $1,000 invested in ACGL 1 year ago be worth today?

A $1,000 investment in Arch Capital Group Ltd. (ACGL) in 2025 would be worth $1,018 as of May 2026, representing a +1.8% total return.

What would $1,000 invested in ACGL 3 years ago be worth today?

A $1,000 investment in Arch Capital Group Ltd. (ACGL) in 2023 would be worth $1,560 as of May 2026, representing a +56.0% total return.

What would $1,000 invested in ACGL 5 years ago be worth today?

A $1,000 investment in Arch Capital Group Ltd. (ACGL) in 2021 would be worth $2,620 as of May 2026, representing a +162.0% total return.

What would $1,000 invested in ACGL 10 years ago be worth today?

A $1,000 investment in Arch Capital Group Ltd. (ACGL) in 2016 would be worth $4,227 as of May 2026, representing a +322.7% total return.

What would $1,000 invested in ACGL at IPO be worth today?

A $1,000 investment in Arch Capital Group Ltd. (ACGL) at IPO would be worth $41,716 as of May 2026, representing a +4071.6% total return.

Monthly Returns Heatmap

Avg Monthly Return
+1.22%
Positive Months
215
59% of 366
Negative Months
148
40% of 366
Data Period
30+ years
366 months
Best Performers
Best month ever: Oct 2001 (+40.3%)
Best month on avg: February (+2.4%)
Worst Performers
Worst month ever: Mar 2020 (-29.6%)
Worst month on avg: January (-0.7%)

Over the past 30+ years (366 months), Arch Capital Group Ltd. (ACGL) has averaged a monthly return of +1.22% with a median return of +1.16%. The stock had 215 positive months (59%) and 148 negative months (40%). The best month in ACGL's history was October 2001 with a +40.3% return, while the worst was March 2020 at -29.6%. Historically, February tends to be the strongest month (averaging +2.4%), and January the weakest (-0.7%).

ACGL's longest winning streak was 7 consecutive months of gains, while its longest losing streak was 5 consecutive months of losses. The best full year was 2001 with a cumulative return of +61.8%, and the worst was 1999 at -47.6%.

Annual Returns

Over 31 years of trading history, Arch Capital Group Ltd. (ACGL) has delivered an average annual return of +14.79% with a median return of +18.24%. The compound annual growth rate (CAGR) is +12.44%. The stock posted gains in 22 years (71%) and losses in 9 years (29%).

ACGL's best year was 2001 with a +71.67% gain, while the worst was 1999 at -41.95%. The longest streak of consecutive positive years was 5, and the longest losing streak was 2 years. ACGL achieved double-digit gains (10%+) in 18 years. It suffered double-digit losses in 4 years.

Avg Return
+14.79%
Best Year
2001 (+71.67%)
Worst Year
1999 (-41.95%)
Positive Years
22/31
Year Return Start End
2026 -2.36% $95.92 $93.66
2025 +3.87% $92.35 $95.92
2024 +30.76% $70.62 $92.35
2023 +18.30% $59.70 $70.62
2022 +41.24% $42.27 $59.70
2021 +23.23% $34.30 $42.27
2020 -15.90% $40.78 $34.30
2019 +60.52% $25.41 $40.78
2018 -11.69% $28.77 $25.41
2017 +5.19% $27.35 $28.77
2016 +23.71% $22.11 $27.35
2015 +18.02% $18.73 $22.11
2014 -0.99% $18.92 $18.73
2013 +35.60% $13.95 $18.92
2012 +18.24% $11.80 $13.95
2011 +26.85% $9.30 $11.80
2010 +23.06% $7.56 $9.30
2009 +2.07% $7.41 $7.56
2008 -0.36% $7.43 $7.41
2007 +4.05% $7.14 $7.43
2006 +23.49% $5.78 $7.14
2005 +41.47% $4.09 $5.78
2004 -2.91% $4.21 $4.09
2003 +27.88% $3.29 $4.21
2002 +21.05% $2.72 $3.29
2001 +71.67% $1.58 $2.72
2000 +18.81% $1.33 $1.58
1999 -41.95% $2.30 $1.33
1998 -2.25% $2.35 $2.30
1997 +14.84% $2.05 $2.35
1996 -17.11% $2.47 $2.05

Frequently Asked Questions: ACGL

What sector is ACGL in?

ACGL operates in the Financial Services sector, specifically in the Insurance - Diversified industry. This sector includes banks, insurance companies, asset managers, and fintech companies.

How has ACGL performed historically?

Over 31 years of trading history, ACGL has posted gains in 22 years (71% of the time). The best year was 2001 with a +71.7% return. Past performance does not guarantee future results.

How can I invest in ACGL?

You can invest in ACGL through any brokerage account that offers access to US stock exchanges. Popular options include commission-free brokers like Fidelity, Charles Schwab, or Robinhood (US), or international brokers like Interactive Brokers. You can buy individual shares or invest through ETFs that hold ACGL.

Last updated: 3/24/2026