Aviva (AV.)

Sector:

Insurance

Index:

FTSE 100

497.80p
   
  • Change Today:
      1.50p
  • 52 Week High: 561.60p
  • 52 Week Low: 452.40p
  • Currency: UK Pounds
  • Shares Issued: 2,677.96m
  • Volume: 11,590,120
  • Market Cap: £13,331m
  • RiskGrade: 140
  • Beta: 0.02

Growth Ratings

EPS Growth shows the relative growth of a company's earnings over the last year.

The rise in total monies receivable for goods / services sold before expenses.

1yr EPS Growth
73.16% below the market average73.16% below the market average73.16% below the market average73.16% below the market average73.16% below the market average
42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average
1yr Revenue Growth
33.22% above the market average33.22% above the market average33.22% above the market average33.22% above the market average33.22% above the market average
14.29% above the sector average14.29% above the sector average14.29% above the sector average14.29% above the sector average14.29% above the sector average

Income Ratings

The percentage of the share price that a company pays out as dividends over a year.

The percentage change from the previous year in the dividend paid on each share.

Dividend Yield
64.12% above the market average64.12% above the market average64.12% above the market average64.12% above the market average64.12% above the market average
42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average
1yr DPS Growth
21.29% above the market average21.29% above the market average21.29% above the market average21.29% above the market average21.29% above the market average
33.33% above the sector average33.33% above the sector average33.33% above the sector average33.33% above the sector average33.33% above the sector average

Valuation Ratings

The share price as a ratio of revenue per share.

The share price as a ratio of net asset value.

Price Sales Ratio
47.66% below the market average47.66% below the market average47.66% below the market average47.66% below the market average47.66% below the market average
60% below the sector average60% below the sector average60% below the sector average60% below the sector average60% below the sector average
Price Book Ratio
34.99% below the market average34.99% below the market average34.99% below the market average34.99% below the market average34.99% below the market average
14.29% below the sector average14.29% below the sector average14.29% below the sector average14.29% below the sector average14.29% below the sector average

Performance Ratings

In percentage total change in share price over 30 days.

In percentage total change in share price over 3 months.

Price Chg 30d
25.31% below the market average25.31% below the market average25.31% below the market average25.31% below the market average25.31% below the market average
50% below the sector average50% below the sector average50% below the sector average50% below the sector average50% below the sector average
Price Chg 3m
67.16% above the market average67.16% above the market average67.16% above the market average67.16% above the market average67.16% above the market average
50.00% above the sector average50.00% above the sector average50.00% above the sector average50.00% above the sector average50.00% above the sector average

Technical Ratings

The Relative Strength Index measures a share price relative to itself and its recent history.

Momentum is an oscillator that measures the rate of price change.

RSI
28.6% below the market average28.6% below the market average28.6% below the market average28.6% below the market average28.6% below the market average
100% below the sector average100% below the sector average100% below the sector average100% below the sector average100% below the sector average
Momentum 20
75.05% below the market average75.05% below the market average75.05% below the market average75.05% below the market average75.05% below the market average
100% below the sector average100% below the sector average100% below the sector average100% below the sector average100% below the sector average

Management Ratings

Operating Margin is profit as a percentage of sales.

Return on capital employed measures the return from invested and borrowed capital.

Operating Margin
7.97% below the market average7.97% below the market average7.97% below the market average7.97% below the market average7.97% below the market average
42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average42.86% below the sector average
ROCE
17.65% above the market average17.65% above the market average17.65% above the market average17.65% above the market average17.65% above the market average
20.00% above the sector average20.00% above the sector average20.00% above the sector average20.00% above the sector average20.00% above the sector average

Profitability Ratings

Earnings per share, the company's profitability expressed on a per share basis.

Analysts' estimates of future EPS for the next 2 years.

EPS
59.14% above the market average59.14% above the market average59.14% above the market average59.14% above the market average59.14% above the market average
14.29% below the sector average14.29% below the sector average14.29% below the sector average14.29% below the sector average14.29% below the sector average
Forecast EPS
41.90% above the market average41.90% above the market average41.90% above the market average41.90% above the market average41.90% above the market average
33.33% above the sector average33.33% above the sector average33.33% above the sector average33.33% above the sector average33.33% above the sector average

Profit/Loss Ratings

Monies produced from sales of goods and services after trade discounts, VAT, etc.

Operating Profit is the profit after deducting operating costs from gross profits.

Turnover
96.35% above the market average96.35% above the market average96.35% above the market average96.35% above the market average96.35% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Operating Profit Loss
94.86% above the market average94.86% above the market average94.86% above the market average94.86% above the market average94.86% above the market average
71.43% above the sector average71.43% above the sector average71.43% above the sector average71.43% above the sector average71.43% above the sector average

Balance Sheet Ratings

The difference between current assets and current liabilities.

A current asset representing the company's financial liquidity.

Assets
99.08% above the market average99.08% above the market average99.08% above the market average99.08% above the market average99.08% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Cash Not Available

Director Deal Ratings

The cumulative amount of stocks sold by company directors over 1 year

The cumulative amount of stocks bought by company directors over 1 year

Sells 1y
76.11% above the market average76.11% above the market average76.11% above the market average76.11% above the market average76.11% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Buys 1y
72.25% above the market average72.25% above the market average72.25% above the market average72.25% above the market average72.25% above the market average
20.00% above the sector average20.00% above the sector average20.00% above the sector average20.00% above the sector average20.00% above the sector average

Broker Ratings

The percentage of stockbrokers that rate the company as a Buy

The percentage of stockbrokers that rate the company as a Hold

Brokers Percent Buy
11.53% above the market average11.53% above the market average11.53% above the market average11.53% above the market average11.53% above the market average
25.00% above the sector average25.00% above the sector average25.00% above the sector average25.00% above the sector average25.00% above the sector average
Brokers Percent Neutral
81.71% below the market average81.71% below the market average81.71% below the market average81.71% below the market average81.71% below the market average
60% below the sector average60% below the sector average60% below the sector average60% below the sector average60% below the sector average

Note 1: Prices and trades are provided by Digital Look Corporate Solutions and are delayed by at least 15 minutes.

Note 2: RiskGrade figures are provided by RiskMetrics.

 

Aviva Market Data

Currency UK Pounds
Share Price 497.80p
Change Today 1.50p
% Change 0.30 %
52 Week High 561.60p
52 Week Low 452.40p
Volume 11,590,120
Shares Issued 2,677.96m
Market Cap £13,331m
Beta 0.02
RiskGrade 140

Aviva Star Ratings

Compare performance with the sector and the market.
more star ratings
Key: vs Market vs Sector
Value
88.51% above the market average88.51% above the market average88.51% above the market average88.51% above the market average88.51% above the market average
100% below the sector average100% below the sector average100% below the sector average100% below the sector average100% below the sector average
Price Trend
76.01% above the market average76.01% above the market average76.01% above the market average76.01% above the market average76.01% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Income
77.41% above the market average77.41% above the market average77.41% above the market average77.41% above the market average77.41% above the market average
71.43% below the sector average71.43% below the sector average71.43% below the sector average71.43% below the sector average71.43% below the sector average
Growth
80.36% below the market average80.36% below the market average80.36% below the market average80.36% below the market average80.36% below the market average
100% below the sector average100% below the sector average100% below the sector average100% below the sector average100% below the sector average

What The Brokers Say

Strong Buy 6
Buy 6
Neutral 2
Sell 0
Strong Sell 0
Total 14
buy
Broker recommendations should not be taken as investment advice, and are provided by the authorised brokers listed on this page.

Aviva Dividends

  Latest Previous
  Final Interim
Ex-Div 10-Apr-25 05-Sep-24
Paid 22-May-25 17-Oct-24
Amount 23.80p 11.90p

Trades for 11-Apr-2025

Time Volume / Share Price
16:12 4 @ 498.40p
16:12 1 @ 498.40p
16:12 2 @ 498.40p
16:12 2 @ 498.40p
16:12 6 @ 498.40p

Aviva Key Personnel

CEO Amanda Blanc
CFO Charlotte Jones

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