Reported Q: Q4 2025 Rev YoY: N/A EPS YoY: N/A Move: -0.14%
Arch Capital Group Ltd
ACGLN
$17.51 -0.14%
Exchange NASDAQ Sector Financial Services Industry Insurance Diversified
Q4 2025
Published: Feb 9, 2026

Company Status Snapshot

Fast view of the latest quarter outcome for ACGLN

Reported

Report Date

Feb 9, 2026

Quarter Q4 2025

Revenue

N/A

YoY: N/A

EPS

N/A

YoY: N/A

Market Move

-0.14%

Previous quarter: Q3 2025

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Earnings Highlights

  • Net income of 1.24B
  • "N/A" - N/A
ACGLN
Company ACGLN

Executive Summary

Arch Capital Group Ltd reported Q4 2025 net income of $1.238 billion, underpinned by a sizable non-operating income line, with pre-tax income of $1.387 billion and total other income and expenses of $1.326 billion. On a standalone operating basis, EBITDA was $61 million and operating income was $61 million, suggesting that the quarterly headline earnings were significantly influenced by non-operating items rather than the core underwriting business. Gross profit for the quarter was negative at $47 million, and revenue for Q4 2025 is not disclosed in the supplied data, limiting visibility into the quarter’s top-line dynamics. Across the first three quarters of 2025, reported quarterly revenue was approximately $4.59B (Q1), $4.97B (Q2), and $4.98B (Q3), indicating a stable top-line cadence in a mature insurance cycle, with Q4 revenue not provided.\\n
For the full-year 2025, net income by quarter was $0.574B (Q1), $1.237B (Q2), $1.350B (Q3), and $1.238B (Q4). Year-over-year net income is reported as +32.4% in the data, while QoQ net income declined about 8.3% from Q3 to Q4. The year shows a pattern of material earnings contributed by non-operating income, which raises questions about sustainability absent corroborating management commentary. The dataset provides limited balance sheet and cash flow detail, so a rigorous assessment of solvency and liquidity cannot be completed from these figures alone. Management commentary and a full 10-K/annual report would be needed to validate reserve positions, capital deployment, and ongoing underwriting profitability.\\n
Given the absence of explicit forward guidance in the dataset, investors should monitor core underwriting performance, reserve adequacy, catastrophe exposure, capital management actions, and the durability of any non-operating income components in subsequent quarters.

Key Performance Indicators

Operating Income
Decreasing
61.00M
QoQ: -95.94% | YoY: -92.32%
Net Income
Increasing
1.24B
QoQ: -8.30% | YoY: 32.41%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q4 2025 0.00 0.00 +0.0% View
Q3 2025 4,977.00 3.56 +11.1% View
Q2 2025 4,973.00 3.23 +22.4% View
Q1 2025 4,592.00 1.48 +18.4% View
Q4 2024 4,510.00 2.42 +16.5% View