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National Western Life Group, Inc. Class A Common Stock, also called National Western Life Group, is a holding company, which engages in the provision of life insurance services. Read More It operates through the following business segments: Domestic Insurance Operations and International Insurance Operations. The Domestic Insurance Operations segment includes annuities, universal life insurance, and traditional life insurance, which include both term and whole life products. The International Insurance Operations segment focuses on foreign nationals in upper socioeconomic classes. It offers a broad portfolio of individual whole life, universal life and term insurance plans, and annuities, including supplementary riders. The company was founded on October 1, 2015 and is headquartered in Austin, TX.
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Yahoo FinanceMay 10
National Western Life: 1Q Earnings Snapshot
AUSTIN, Texas (AP) _ National Western Life Insurance Co. (NWLI) on Thursday reported first-quarter earnings of $39.1 million. On a per-share basis, the Austin, Texas-based company said it had profit of $11.37. Earnings, adjusted for investment gains, came to $10.34 per share. The insurance provider posted revenue of $217.9 million in the period. Scroll to continue with content Ad National Western Life shares have dropped 12% since the beginning of the year. The stock has declined 14% in the last 12 mont...
Yahoo FinanceMay 9
National Western Life Group, Inc. Announces 2019 First Quarter Earnings
AUSTIN, Texas, May 9, 2019 /PRNewswire/ -- Ross R. Moody, Chairman of the Board, President, and Chief Executive Officer of National Western Life Group, Inc.
Simply Wall StMay 8
Does Market Volatility Impact National Western Life Group, Inc.’s (NASDAQ:NWLI) Share Price?
Want to participate in a short research study? Help shape the future of investing tools and you could win a $250 gift card! If you own shares in National Western Life Group, Inc. (NASDAQ:NWLI) then it’s worth thinking about how it contributes to the volatility of your portfolio, overall. In finance, Beta is a measure of volatility. Volatility is considered to be a measure of risk in modern finance theory. Investors may think of volatility as falling into two main categories. First, we have company specific...
Expected Aug 7