Aflac Inc. Share‑Transaction Activity and Upcoming Q4 Earnings Outlook
1. Recent Institutional Share Transactions
Greatmark Investment Partners, Inc. Purchased 86,837 shares of Aflac Inc. (ticker: AFL).
Hudson Edge Investment Partners Inc. Acquired 1,580 shares of AFL.
Tokio Marine Asset Management Co., Ltd. Bought 854 shares of AFL.
Bayforest Capital Ltd. Added 128 shares to its holdings of AFL.
Regions Financial Corp. Sold 45,613 shares of AFL.
Krilogy Financial LLC Disposed of 933 shares of AFL.
These transactions, reported between 30 January and 1 February 2026, illustrate active trading by both buyers and sellers within the institutional investor base.
2. Market Context
- Close Price (29 January 2026): USD 110.95
- 52‑Week High: USD 115.84 (13 November 2025)
- 52‑Week Low: USD 96.95 (31 July 2025)
- Market Capitalisation: USD 59.34 billion
- Price‑to‑Earnings Ratio: 14.41
Aflac’s share price remains within the upper range of its 52‑week cycle, reflecting modest volatility in the broader financial and insurance sectors.
3. Anticipated Q4 Earnings
On 30 January 2026, a forecast summary from finviz.com highlighted key metrics expected for Aflac’s Q4 earnings. While the specific projected figures were not disclosed in the input, the announcement signals that Wall Street analysts are preparing to evaluate the company’s upcoming quarterly performance.
4. Company Profile
Aflac, Inc. operates as a general business holding company focused on supplemental insurance products in the United States and Japan. Its portfolio includes accident and disability, cancer expense, short‑term disability, sickness and hospital indemnity, hospital intensive care, and fixed‑benefit dental plans.
5. Summary
Institutional activity around Aflac shares has been vigorous in late January 2026, with significant purchases by Greatmark Investment Partners and sales by Regions Financial Corp. and Krilogy Financial LLC. The company’s share price sits comfortably above its 52‑week low and near its recent high, supporting a stable market capitalisation of approximately USD 59 billion. Analysts are poised to scrutinise the forthcoming Q4 earnings report, which will likely influence future trading activity and investor sentiment.




