RLI Stock 7-Day Losing Spree: Stock Falls -7%

RLI: RLI logo
RLI
RLI

RLI (RLI) – a provider of property and casualty insurance products – hit a 7-day losing streak, with cumulative losses over this period amounting to -7%. The company’s market cap has crashed by about $399 Mil over the last 7 days and currently stands at $5.3 Bil.

Is this opportunity or trap? There are only a couple of things to fear in RLI stock given its overall Moderate operating performance and financial condition. Hence, despite its Low valuation, this makes the stock look Risky (For details, see Buy or Sell RLI).

But here is the interesting part. You are reading about this -7% move after it happened. The market has already priced in the news. To manage individual stock risk before the headlines, you need predictive signals, not notifications. High Quality Portfolio has a risk model designed to manage stock-specific drawdowns better.

Trefis: RLI Stock Insights

Returns vs S&P 500

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The following table summarizes the return for RLI stock vs. the S&P 500 index over different periods, including the current streak:

Return Period RLI S&P 500
1D -0.5% 1.1%
7D (Current Streak) -7.0% -1.4%
1M (21D) -5.0% -4.8%
3M (63D) -12.5% -2.9%
YTD 2026 -9.7% -3.9%
2025 -19.1% 16.4%
2024 27.6% 23.3%
2023 3.8% 24.2%

Gains and Losses Streaks: S&P 500 Constituents

There are currently 38 S&P constituents with 3 days or more of consecutive gains and 49 constituents with 3 days or more of consecutive losses.
 

Consecutive Days # of Gainers # of Losers
3D 32 13
4D 2 18
5D 2 13
6D 2 5
7D or more 0 0
Total >=3 D 38 49

 
 
Key Financials for RLI (RLI)

Last 2 Fiscal Years:

Metric FY2024 FY2025
Revenues $1.8 Bil $1.9 Bil
EBT $427.6 Mil $506.0 Mil
Net Income $345.8 Mil $403.3 Mil

Last 2 Fiscal Quarters:

Metric 2025 FQ3 2025 FQ4
Revenues $509.3 Mil $465.7 Mil
EBT $157.2 Mil $113.6 Mil
Net Income $124.6 Mil $91.2 Mil

The losing streak RLI stock is currently on doesn’t inspire much confidence among investors. In contrast, Trefis High Quality (HQ) Portfolio, with a collection of 30 stocks, has a track record of comfortably outperforming its benchmark that includes all 3 — the S&P 500, S&P mid-cap, and Russell 2000 indices. Why is that? As a group, HQ Portfolio stocks provided better returns with less risk versus the benchmark index; less of a roller-coaster ride, as evident in HQ Portfolio performance metrics.