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Aviva plc (AIVAF)
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Aviva plc (AIVAF) Financial Statements

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Aviva plc Financial Overview

Aviva plc's market cap is currently $24.05B. The company's EPS TTM is $0.36562340800000004; its P/E ratio is 18.92; and it has a dividend yield of 5.39%. Aviva plc is scheduled to report earnings on March 5, 2026, and the estimated EPS forecast is $0.41. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue£ 58.51B£ 40.86B£ 32.92B£ -26.79B£ 32.99B
Gross Profit£ 58.51B£ 31.76B£ 33.95B£ 16.20B£ 32.99B
Operating Income£ 1.84B£ 1.32B£ 1.44B£ 16.18B£ 556.00M
EBITDA£ 2.56B£ 1.58B£ 2.03B£ -887.00M£ 1.33B
Net Income£ 1.03B£ 683.00M£ 1.08B£ -1.07B£ 416.00M
Balance Sheet
Cash & Short-Term Investments£ 18.29B£ 23.48B£ 17.27B£ 22.50B£ 12.48B
Total Assets£ 395.30B£ 353.88B£ 328.84B£ 302.26B£ 343.44B
Total Debt£ 8.30B£ 6.89B£ 7.37B£ 8.57B£ 8.42B
Net Debt£ -9.98B£ -16.59B£ -9.91B£ -13.94B£ -4.06B
Total Liabilities£ 385.21B£ 345.26B£ 319.24B£ 289.86B£ 323.99B
Stockholders' Equity£ 9.69B£ 8.30B£ 8.79B£ 12.09B£ 19.20B
Cash Flow
Free Cash Flow£ -2.96B£ 8.27B£ -3.08B£ 3.85B£ 3.19B
Operating Cash Flow£ -2.87B£ 8.45B£ -2.73B£ 3.95B£ 3.30B
Investing Cash Flow£ -1.14B£ 162.00M£ -350.00M£ 11.13B£ -6.58B
Financing Cash Flow£ -1.73B£ -2.49B£ -1.82B£ -5.47B£ -3.91B
Currency in GBP

Aviva plc Earnings and Revenue History

Aviva plc Debt to Assets

Aviva plc Cash Flow

Aviva plc Forecast EPS vs Actual EPS