*Key facts and figures at December 31, 2020 ($ in billions)
**Total capital represents the sum of total shareholders’ equity and debt
AXIS’ rating of A+ from Standard and Poor’s and A from A.M. Best reflects our excellent level of financial strength and our long-term track record of strong operating performance, placing AXIS among a select group of companies in our industry.
* Data computed from June 30, 2003 to December 31, 2020.
Shown above is a graph comparing the yearly percentage change in the cumulative total shareholder return on our common shares (assuming reinvestment of dividends) from July 1, 2003, the date that our common shares began trading on the New York Stock Exchange, through December 31, 2020, as compared to the cumulative total return of the Standard & Poor’s 500 Stock Index and the cumulative total return of the Standard & Poor’s Property and Casualty Insurance Index. This graph assumes an investment of $100 in July 2003. The Company’s total return is computed using the initial public offering price of $22.00 per share.