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AEG
Aegon Ltd.
8.24
34500 x 8.18
37000 x 8.40
bid
ask
-
0.03
0.36%
35750 @ 04:00 PM
8.24 +0.00 (0.00%)
Ytd6.87%
1y6.74%
8.22
day range
8.28
6.79
52 week range
9.53
Open8.26Prev Close8.27Low8.22High8.28Mkt Cap12.20B
Vol4.47MAvg Vol4.93MEPS0.69P/E11.94Forward P/E8.81
Beta0.65Short Ratio0.73Inst. Own8.47%Dividend0.49Div Yield5.87
Ex Div Date09-03Earning08-2050-d Avg9.08200-d Avg8.261yr Est9.88
Earning
DateForEstimateReportedSurprisesurprise %
2027-02-182026-120.79N/AN/AN/A
2026-08-202026-060.350.440.0924.48%
2026-02-192025-120.480.27-0.21-43.74%
2025-08-212025-060.30.330.039.98%
2025-05-222025-030N/AN/AN/A
2025-02-202024-120.160.370.2124.68%
Upgrade / Downgrade
DateFirmActionFromTo
2025-12-03UBSDowngradeBuyNeutral
2024-05-28UBSDowngradeBuyNeutral
Profile
Aegon Ltd. provides insurance services in the Americas, the Netherlands, the United Kingdom, and internationally. It offers retirement plans, mutual funds, and unit-linked products; and annuities, life, and health insurance. The company provides its products under the Transamerica and World Financial Group brands. Aegon Ltd. was founded in 1844 and is based in Schiphol, the Netherlands.
Institution Ownership
Report DateOrganizationPositionValuePercentage
2026-06-29Dodge & Cox Inc.44.64M368.02M2.84%
2026-06-29Dimensional Fund Advisors LP13.04M107.48M0.83%
2026-06-29Morgan Stanley5.92M48.82M0.38%
2026-06-29Goldman Sachs Group Inc5.32M43.86M0.34%
2026-06-29Blackrock Inc.5.18M42.74M0.33%
2026-06-29Arrowstreet Capital, Limited Partnership4.82M39.71M0.31%
Fund Ownership
Report DateOrganizationPositionValuePercentage
2026-06-29Dodge & Cox Funds-Dodge & Cox Stock Fund35.75M294.72M2.27%
2026-07-30Dimensional ETF Trust-Dimensional International Small Cap Value ETF2.36M19.46M0.15%
2026-06-29Bridge Builder Trust-Bridge Builder Large Cap Value Fund1.80M14.82M0.11%
2026-07-30Dimensional ETF Trust-Dimensional International Core Equity 2 ETF1.60M13.17M0.10%
2026-08-30American Century ETF Trust-Avantis International Equity ETF1.39M11.48M0.09%
2026-07-30Dimensional ETF Trust-Dimensional International Value ETF1.14M9.42M0.07%
Dividend
DividendDate
0.243412026-09-03
0.241822026-06-15
0.221642025-09-04
0.219552025-06-17
0.1772024-09-05
0.1722024-06-17
Split
SplitDate
104 : 1002003-04-17
1.04 : 12003-04-16
2 : 12000-05-30
2 : 11998-05-26
5 : 21995-06-09
2 : 11992-06-16