Arch Capital Group Ltd. (ACGL) vs MSCI Inc. (MSCI)
ACGL leads on 8 of 12 compared metrics.
A side-by-side comparison of Arch Capital Group Ltd. and MSCI Inc. across valuation, profitability, dividends, and growth — built entirely from reported fundamentals, as of July 25, 2026. The ● marks the stronger figure on each row (cheaper multiple, higher margin/return).
ACGL
Arch Capital Group Ltd.
$103.36Financial ServicesAt close: Jul 24, 2026, 4:00 PM ET
MSCI
MSCI Inc.
$550.79Financial ServicesAt close: Jul 24, 2026, 4:00 PM ET
Total return — ACGL vs MSCI
growth of $100 · dividends reinvested · last 19yACGL +1304.2%MSCI +2419.2%MSCI compounded faster
ACGL MSCI
ACGL vs MSCI: by the numbers
- •MSCI is the larger company ($40.04B vs $36.11B market cap).
- •ACGL trades at the lower earnings multiple (7.94 vs 30.35 P/E).
- •MSCI converts more revenue to profit (40.74% vs 24.73% net margin).
- •ACGL grew revenue faster over the past five years (17.23% vs 12.56% CAGR).
- •MSCI pays a dividend (1.40% yield) while ACGL does not currently pay one.
Which is better, ACGL or MSCI?
Metric tally: ACGL 8 · MSCI 4It depends on what you're optimizing for:
ValueACGL(lower P/E)
GrowthACGL(faster 5Y revenue CAGR)
QualityMSCI(higher ROIC)
Metrics side by side
Valuation
| Metric | ACGL | MSCI |
|---|---|---|
| P/E ratio | 7.94● | 30.35 |
| Forward P/E | 11.12● | 27.89 |
| P/S ratio | 1.89● | 12.08 |
| P/B ratio | 1.54 | — |
| PEG ratio | 2.51● | 3.48 |
Profitability
| Metric | ACGL | MSCI |
|---|---|---|
| Gross margin | 42.83% | 82.97%● |
| Operating margin | 27.65% | 55.66%● |
| Net margin | 24.73% | 40.74%● |
| ROE | 20.14%● | -45.29% |
| ROIC | 7.12% | 35.34%● |
Dividends
| Metric | ACGL | MSCI |
|---|---|---|
| Dividend yield | — | 1.40% |
| Payout ratio | — | 49.42% |
Growth (annualized)
| Metric | ACGL | MSCI |
|---|---|---|
| Revenue CAGR (5Y) | 17.23%● | 12.56% |
| EPS CAGR (5Y) | 28.50%● | 16.73% |
| Total return CAGR (5Y) | 23.04%● | 0.11% |
Frequently asked
- Which is better, ACGL or MSCI?
- It depends on your goal. value: ACGL (lower P/E); growth: ACGL (faster 5Y revenue CAGR); quality: MSCI (higher ROIC). Across all compared metrics, ACGL leads 8 to 4.
- Is ACGL or MSCI cheaper?
- On trailing earnings, ACGL is cheaper: ACGL trades at a 7.94 P/E and MSCI at 30.35.
- Which has grown faster, ACGL or MSCI?
- Over the past five years, ACGL grew revenue faster — ACGL at a 17.23% CAGR versus MSCI at 12.56%.
- Does ACGL or MSCI pay a bigger dividend?
- MSCI pays a dividend (1.40% yield) while ACGL does not currently pay one.
- Is ACGL or MSCI more profitable?
- MSCI runs the higher net margin — ACGL at 24.73% versus MSCI at 40.74%.
- Which has been the better investment, ACGL or MSCI?
- Over the past 10-year, MSCI delivered the higher annualized total return — ACGL at 16.56% versus MSCI at 22.17%. Past performance doesn't predict future results.
Go deeper
Dig into the metrics
Arch Capital P/E ratioMSCI P/E ratioArch Capital dividend yieldMSCI dividend yieldArch Capital ROEMSCI ROEArch Capital operating marginMSCI operating marginArch Capital revenue growthMSCI revenue growthArch Capital free cash flowMSCI free cash flow
Arch Capital & MSCI appear in these rankings
Figures are sourced from reported fundamentals and the latest end-of-day price. This comparison is informational only and is not investment advice. Past performance does not predict future results. See our methodology. Compiled by TGMCharts Research · data verified July 25, 2026.