May 26, 2026 a 04:38 pm

BRO: Analysts Ratings - Brown & Brown, Inc.

Stock image of Brown & Brown, Inc.

The Brown & Brown, Inc. stock has experienced varying levels of interest from analysts over the past months. The company, operating in an extensive market region, offers a diverse array of insurance products and services. Recent analyst ratings suggest a cautious approach with an increase in Hold recommendations, reflecting the market's balanced view on future growth opportunities and challenges in the insurance sector.

Historical Stock Grades

The most recent analyst ratings for Brown & Brown, Inc. show a restrained optimism among analysts. The majority of ratings are clustered around "Hold", indicating cautiousness about the stock's immediate potential.

Recommendation Count Score
Strong Buy 2
Buy 3
Hold 15
Sell 0
Strong Sell 0
Analyst Ratings History Stock Chart

Sentiment development

Over the past months, the sentiment around Brown & Brown's stock indicates a shift towards more conservative stances. Notably, the number of Hold recommendations has increased steadily:

  • The number of Strong Buy recommendations has seen a noticeable decrease from early 2025 levels.
  • Hold ratings have become predominant, suggesting market caution or stability in perception.
  • Buy ratings show slight fluctuation but remain consistent in presence.
  • There has been no significant increase in Sell or Strong Sell ratings, suggesting no major negative sentiment.

Percentage trends

The distribution of analyst ratings for Brown & Brown, Inc. over the past year shows a gradual shift towards inertia, with Hold recommendations gaining prominence. This trend reflects the market’s cautious stance due to potential market volatilities:

  • Strong Buy: Dropped significantly over the months, reflecting a reduced bullish outlook.
  • Hold: Increased steadily, indicating a shift to a more neutral stance.
  • The proportion of Buy ratings has decreased slightly, adding to the cautious sentiment.
  • No significant presence of Sell signals, indicating relative confidence in Brown & Brown's stability.

The shift towards Hold suggests analysts are weighing potential growth against prevailing market uncertainties.

Latest Analyst Recommendations

Recent analyst recommendations for Brown & Brown, Inc. provide insight into prevailing market sentiment:

Date New Recommendation Last Recommendation Publisher
2026-05-21 Equal Weight Equal Weight Morgan Stanley
2026-05-06 Buy Neutral Citigroup
2026-04-29 Sector Perform Sector Perform RBC Capital
2026-04-29 Buy Buy Truist Securities
2026-04-29 Market Perform Market Perform Keefe, Bruyette & Woods

Analyst Recommendations with Change of Opinion

Changes in analyst opinions are often reflective of substantial market analysis or shifts in company performance:

Date New Recommendation Last Recommendation Publisher
2026-05-06 Buy Neutral Citigroup
2026-02-27 Outperform Neutral Mizuho
2026-01-29 Market Perform Underperform Keefe, Bruyette & Woods
2026-01-29 Market Perform Underperform Keefe, Bruyette & Woods
2026-01-28 Neutral Buy Citigroup

Interpretation

Analyzing the sentiment and historical data, it is clear that the market provides a steady, neutral outlook on Brown & Brown, Inc., with prevailing ratings leaning towards Hold. This indicates a level of stability in expectation but also a lack of strong confidence in short-term bullish moves. The absence of Sell recommendations suggests maintained trust in the company's core operations but views long-term growth cautiously. The shifts in recommendations show some strategic reevaluation, reflecting market uncertainties or potential adjustments in company performance expectations.

Conclusion

In summary, Brown & Brown, Inc. presents a stable investment with the majority of recommendations centered around Hold. The fluctuation in analyst sentiment indicates a cautious yet confident view of the company's consistent operational capabilities. This positions Brown & Brown as a resilient player in the insurance market with current sentiment favoring medium to long-term stability over rapid growth, offering both opportunities and challenges for investors.

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