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AXA 1Q26 Solvency II ratio reference Reference type Solvency / capital ratio Reporting period As of Mar. 31, 2026 Value 211 Solvency II ratio (%) Line / segment Group capital Market Global Source date May 5, 2026 Reviewed June 23, 2026
Reference type
Solvency / capital ratio
Reporting period
As of Mar. 31, 2026
Value
211 Solvency II ratio (%)
Line / segment
Group capital
Market
Global
Source title
AXA 1Q26 Activity Indicators
Source publication date
May 5, 2026
Reviewed
June 23, 2026
Summary
AXA's 1Q26 activity indicators report the group's Solvency II ratio as of March 31, 2026.
Why it matters
The ratio is a concise public capital reference for AXA's group-level regulatory capital position.
Reader caution
Use AXA's stated methodology and reporting date; this reference is not a forecast or recommendation.
Parent company
AXA
AXA financial-strength ratings source path Reference type Official ratings source path Reporting period Ratings source path reviewed 2026-06-30 Line / segment Principal insurance subsidiaries; group ratings context Market France / global group Reviewed June 30, 2026
Reference type
Official ratings source path
Reporting period
Ratings source path reviewed 2026-06-30
Line / segment
Principal insurance subsidiaries; group ratings context
Market
France / global group
Source title
AXA Financial Strength Ratings
Reviewed
June 30, 2026
Summary
AXA's financial-strength ratings page is the official company source path for ratings metadata tied to principal insurance subsidiaries.
Why it matters
The source path keeps ratings context distinct from recommendation, ranking, or product-comparison content.
Source note
Reviewed as an official AXA source path. This reference does not reproduce rating tables or provide rating advice.
Reader caution
Ratings are reference metadata only and should not be treated as investment advice, insurance advice, a recommendation, or a live monitoring claim.
Parent company
AXA
AXA results source path Reference type Official results source path Reporting period Results source path reviewed 2026-06-30 Line / segment Group results; property and casualty; life and health; asset management Market France / global group Reviewed June 30, 2026
Reference type
Official results source path
Reporting period
Results source path reviewed 2026-06-30
Line / segment
Group results; property and casualty; life and health; asset management
Market
France / global group
Source title
AXA Results
Reviewed
June 30, 2026
Summary
AXA's results page is the official company source path for annual, half-year, and activity-indicator materials.
Why it matters
Keeping the results source path explicit helps future editors review AXA figures from official company materials before adding period-specific claims.
Source note
Reviewed as an official AXA investor-relations source path. This card records source availability and review scope only; it does not add new results figures.
Reader caution
Use AXA's stated reporting basis before comparing results or premium measures with other insurers.
Official source
AXA Results
Parent company
AXA
AXA 1Q26 activity indicators reference Reference type Annual results Reporting period 1Q26 Value EUR 38.0 billion gross written premiums and other revenues Line / segment Group Market Global Source date May 5, 2026 Reviewed June 23, 2026
Reference type
Annual results
Reporting period
1Q26
Value
EUR 38.0 billion gross written premiums and other revenues
Line / segment
Group
Market
Global
Source title
AXA 1Q26 Activity Indicators
Source publication date
May 5, 2026
Reviewed
June 23, 2026
Summary
AXA's 1Q26 activity indicators provide a current company source for group gross written premiums and other revenues, including property and casualty and life and health split references.
Why it matters
The company release gives readers a recent primary reference for AXA's reported premium scale and operating mix.
Reader caution
Quarterly activity indicators should not be read as full-year results.
Parent company
AXA