AVAviva plc
659.20GBp+0.33%Mkt Cap: 21.43B $P/E: 25.35

Aviva plc provides various insurance, retirement, and wealth products in the United Kingdom, Ireland, Canada, India, and China. It operates through General Insurance; Insurance, Wealth & Retirement; Aviva Investors; and …

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Key Statistics

Company
Market Cap21.43B $
Enterprise Value16.00B $
Revenue (TTM)31.17B $
Gross Profit5.98B $
Net Income (TTM)1.12B $
Revenue/Share10.92 USD
Last Price659.20 GBp
Fiscal Year EndDec 2025
MR QuarterDec 2025
Employees39.4K
CountryGB
SectorFinancial Services
IndustryInsurance - Diversified
ISIN
Valuation
P/E (Trailing)25.35
P/E (Forward)9.83
PEG1.70
EV/EBITDA4.37
EV/Revenue0.51
P/S0.69
P/B1.88
EPS (TTM)0.26
EPS (Forward)0.67
52W Range
0.000094% of range700.80
52W High700.80 GBp
52W Low0.0000 GBp
Profitability
Gross Margin19.18%
Oper. Margin11.53%
EBITDA Margin11.76%
Profit Margin1.80%
ROE9.67%
ROA0.26%
Growth
Revenue Growth37.10%
Earnings Growth979.50%
Cash Flow & Leverage
Operating CF-2.79B $
CapEx (TTM)207.61M $
FCF Margin-3.17%
FCF Yield-4.62%
Net Debt-6.27B $
Net Debt/EBITDA-1.71
Balance Sheet
Debt/Equity0.68
Current Ratio1.54
Quick Ratio0.81
Book Value/Sh3.507 GBp
Cash/Share5.972 GBp
Dividends
Fwd Div Rate0.3900 GBp
Trail. Div Rate0.3930 GBp
Div. Yield5.98%
5Y Avg Yield6.30%
Payout Ratio139.25%
Ex-Div DateMar 26, 2026
Pay Date
Splits
Last Split1.012:1
Split DateMay 16, 2022
Analyst Consensus
Rating2.3 (Buy)
Strong BuyBuyHoldSellStr. Sell
Target (Mean)695.89 GBp
Upside (mean)+5.6%
Target Range543.00 GBp800.00 GBp
GBp543.00+5.6% to meanGBp800.00
# Analysts14
Ownership
Shares Out.2.99B
Float2.96B
Insiders0.62%
Institutions71.49%
Technical
SMA 50634.15 (+3.9%)
SMA 200645.86 (+2.1%)
Beta0.62
S&P 52W Chg20.25%
Avg Vol (30d)6.37M
Avg Vol (10d)5.73M
Technical Indicators
RSI (14)59.5
MACD9.0619
MACD Signal9.3956
MACD Hist.-0.3337
BB Upper675.07 GBp
BB Middle652.07 GBp
BB Lower629.07 GBp
BB Width7.06%
ATR (14)14.61 GBp
Vol Ratio (20d)0.72x