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AEGON NV logo

AEGON NV

US$8.39

US$13.0b

0.00%

41.25%

Transparent research score

MaveScore

A research prioritization score from 0 to 100. It is model output for watchlist review, not personalized financial advice.

10 Low confidence Low
Fundamentals Dec 31, 2025
Price Jun 08, 2026
Confidence Low

Stored data quality

Freshness and coverage checks

Mavefund is missing enough stored company inputs that this score should be treated as preliminary research only.

6/16 Limited stored snapshot
Fundamental period Dec 31, 2025 161 days old
Price snapshot Jun 08, 2026 2 days old
Input coverage 6/16 Stored fields powering this model output
Confidence impact 10 gaps Missing fields reduce confidence and can limit signal detail

Quality

Quality score blends the latest weighted model rank with underlying profitability and dilution ranks.

0/35 Weak

Financial Strength

Financial strength needs live profitability and cash-flow fields.

0/25 Needs Data

Valuation Support

Valuation favors positive earnings, positive cash flow, and lower price-to-book multiples.

1/15 Weak

Momentum

Momentum highlights research candidates with supportive 3-month and 6-month price regimes.

8/15 Mixed

Shareholder Alignment

Shareholder alignment rewards less dilutive share behavior and enough size for liquid research coverage.

1/10 Weak

Positive model output

More live company inputs are needed before positive research signals can be surfaced.

Research risks to review

  • Quality score blends the latest weighted model rank with underlying profitability and dilution ranks.
  • Financial strength needs live profitability and cash-flow fields.
  • Valuation favors positive earnings, positive cash flow, and lower price-to-book multiples.

MaveScore uses historical model inputs, stored company fundamentals, and stored price context for research support only. Review missing inputs and business-specific risks before acting. Missing inputs right now include EPS rank, ROE rank, net margin rank, share-count rank, leverage rank, return on equity, net margin, gross margin, free cash flow per share, book value per share.

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AEGON NV Overview

Industry: Insurance-Diversified

Sector: Financial Services

Aegon N.V. provides insurance, pensions, retirement, and asset management services in the Americas, the Netherlands, the United Kingdom, and internationally. The company offers life, accident, property and casualty, and health insurance; annuities, retirement plans, and mutual funds; mortgage loans; and individual retirement accounts, as well as stable value, investment management, and digital banking solutions. It offers its products under the Aegon and Transamerica brands. The company was founded in 1844 and is headquartered in The Hague, the Netherlands.

AEGON NV is evaluated using Mavefund's quality framework: growing earnings, durable profit margins, conservative leverage, strong return on equity, and disciplined share repurchases.

Score

Price History & Performance

Review AEGON NV in context before unlocking the interactive price chart, financial overlays, and downloadable ratio tables.

Recent News



AEGON NV Competitors

AEGON NV operates in the Insurance-Diversified industry within the Financial Services sector. Unlock the full page to compare peer rankings, valuation quality, profitability, leverage, and growth trends.

Earnings Per Share

EPS quality is one of the core Mavefund signals. Sign up to continue into the detailed EPS, ROE, margin, share buyback, leverage, and financial ratio analysis.

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AEGON NV

US$8.39

US$13.0b

0.00%

41.25%