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LON:AV

Aviva (AV) Share Price, News & Analysis

Aviva logo
GBX 495.50 +3.80 (+0.77%)
As of 01/17/2025

About Aviva Stock (LON:AV)

Key Stats

Today's Range
492.80
497.70
50-Day Range
454.30
491.70
52-Week Range
390.70
510.20
Volume
9.01 million shs
Average Volume
N/A
Market Capitalization
£13.18 billion
P/E Ratio
1,077.17
Dividend Yield
6.86%
Price Target
GBX 555.67
Consensus Rating
Buy

Company Overview

Aviva plc provides various insurance, retirement, investment, and savings products in the United Kingdom, Ireland, Canada, and internationally. The company offers life insurance, long-term health and accident insurance, savings, pension, and annuity products, as well as pension fund business and lifetime mortgage products. It also provides insurance cover to individuals, small and medium-sized businesses for risks associated with motor vehicles and medical expenses, as well as property and liability, such as employers' and professional indemnity liabilities. In addition, the company provides investment management services for institutional pension fund mandates; and manages various retail investment products, including investment funds, unit trusts, open-ended investment companies, and individual savings accounts for third-party financial institutions, pension funds, public sector organizations, investment professionals, and private investors. It markets its products through a network of insurance brokers, as well as MyAviva platform. The company was formerly known as CGNU plc and changed its name to Aviva plc in July 2002. Aviva plc was founded in 1696 and is headquartered in London, the United Kingdom.

Aviva Stock Analysis - MarketRank™

See Top Rated MarketRank™ Stocks
33rd Percentile Overall Score

AV MarketRank™: 

Aviva scored higher than 33% of companies evaluated by MarketBeat. Scores are calculated by averaging available category scores, with extra weight given to analysis and valuation.

  • Consensus Rating

    Aviva has received a consensus rating of Buy. The company's average rating score is 3.00, and is based on 4 buy ratings, 1 hold rating, and no sell ratings.

  • Amount of Analyst Coverage

    Aviva has only been the subject of 1 research reports in the past 90 days.

  • Read more about Aviva's stock forecast and price target.
  • Price to Earnings Ratio vs. the Market

    The P/E ratio of Aviva is 1,077.17, which means that it is trading at a more expensive P/E ratio than the market average P/E ratio of about 111.42.

  • Price to Earnings Ratio vs. Sector

    The P/E ratio of Aviva is 1,077.17, which means that it is trading at a more expensive P/E ratio than the Financial Services sector average P/E ratio of about 429.56.

  • Price to Earnings Growth Ratio

    Aviva has a PEG Ratio of 2.01. PEG Ratios above 1 indicate that a company could be overvalued.

  • Price to Book Value per Share Ratio

    Aviva has a P/B Ratio of 1.50. P/B Ratios below 3 indicates that a company is reasonably valued with respect to its assets and liabilities.

  • Short Interest

    There is no current short interest data available for AV.
  • Dividend Leadership

    Aviva is a leading dividend payer. It pays a dividend yield of 7.05%, putting its dividend yield in the top 25% of dividend-paying stocks.

  • Dividend Growth

    Aviva does not have a long track record of dividend growth.

  • Dividend Coverage

    The dividend payout ratio of Aviva is 7,391.30%. Payout ratios above 75% are not desirable because they may not be sustainable.

  • Read more about Aviva's dividend.
  • Short Interest

    There is no current short interest data available for AV.
  • News Sentiment

    Aviva has a news sentiment score of 0.14. This score is calculated as an average of sentiment of articles about the company over the last seven days and ranges from 2 (good news) to -2 (bad news). This is a lower news sentiment than the 0.47 average news sentiment score of Financial Services companies.
  • News Coverage This Week

    MarketBeat has tracked 4 news articles for Aviva this week, compared to 9 articles on an average week.
  • MarketBeat Follows

    8 people have added Aviva to their MarketBeat watchlist in the last 30 days. This is an increase of 700% compared to the previous 30 days.
  • Insider Buying vs. Insider Selling

    In the past three months, Aviva insiders have bought more of their company's stock than they have sold. Specifically, they have bought £4,594.20 in company stock and sold GBX 0 in company stock.

  • Percentage Held by Insiders

    Only 0.17% of the stock of Aviva is held by insiders.

  • Percentage Held by Institutions

    48.53% of the stock of Aviva is held by institutions. High institutional ownership can be a signal of strong market trust in this company.

  • Read more about Aviva's insider trading history.
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AV Stock News Headlines

We recommended Palantir in 2021, now we’re recommending this...
I believe it could offer you a MAJOR boost to your retirement. And it pays huge dividends to give you a nice stream of income along the way.
Form 8.3 - Aviva plc
See More Headlines

AV Stock Analysis - Frequently Asked Questions

Aviva's stock was trading at GBX 468.80 at the beginning of 2025. Since then, AV stock has increased by 5.7% and is now trading at GBX 495.50.
View the best growth stocks for 2025 here
.

Shares of AV stock and other U.K. stocks can be purchased through online brokerage accounts that support trading on the London Stock Exchange (LSX). Some U.K. companies can be purchased through major U.S. brokerages in the form of American Depository Receipts (ADRs), which are placeholder equities held in a trust by a bank that represent shares of a foreign stock.
Compare Top Brokerages Here.

Based on aggregate information from My MarketBeat watchlists, some other companies that Aviva investors own include Lloyds Banking Group (LLOY), Barclays (BARC), Legal & General Group (LGEN), Vodafone Group Public (VOD), BP (BP), GSK (GSK) and HSBC (HSBA).

Industry, Sector and Symbol

Industry
Insurance - Diversified
Sub-Industry
N/A
CIK
N/A
Fax
N/A
Employees
26,382
Year Founded
N/A

Price Target and Rating

Average Stock Price Target
GBX 555.67
High Stock Price Target
GBX 572
Low Stock Price Target
GBX 545
Potential Upside/Downside
+12.1%
Consensus Rating
Buy
Rating Score (0-4)
3.00
Research Coverage
6 Analysts

Profitability

Net Income
£1.27 billion
Pretax Margin
N/A

Debt

Sales & Book Value

Annual Sales
£22.64 billion
Cash Flow
GBX 548.24 per share
Book Value
GBX 330 per share

Miscellaneous

Outstanding Shares
2,660,000,000
Free Float
N/A
Market Cap
£13.18 billion
Optionable
Not Optionable
Beta
0.89
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This page (LON:AV) was last updated on 1/18/2025 by MarketBeat.com Staff
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