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AV Stock Chart & Stats
691.00 p
2.80 p(0.41%)
At close: 4:00 PM EDT
691.00 p
2.80 p(0.41%)
Day’s Range― - ―
52-Week Range590.60 p - 740.60 p
Previous CloseN/A
Volume985.78K
Average Volume (3M)6.64M
Market Cap
£22.04B
Enterprise Value27.02K
Total Cash (Recent Filing)£21.20B
Total Debt (Recent Filing)£7.05B
Price to Earnings (P/E)39.5
Beta1.16
Next Earnings
Mar 04, 2027EPS Estimate
0.29Next Dividend Ex-DateN/A
Dividend Yield5.46%
Share Statistics
EPS (TTM)0.18
Shares Outstanding3,001,450,700
10 Day Avg. Volume6,511,212
30 Day Avg. Volume6,638,793
Financial Highlights & Ratios
PEG Ratio2.03
Price to Book (P/B)2.02
Price to Sales (P/S)0.33
P/FCF Ratio-6.60
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price Target
£746.20Price Target Upside7.99% Upside
Rating ConsensusModerate Buy
Number of Analyst Covering5
EPS Forecast (FY)0.6
Revenue Forecast (FY)£60.28B
Bulls Say, Bears Say
Bulls Say
Direct Line Synergies Are Improving Scale And EfficiencyThe Direct Line integration is creating recurring cost, capital and claims benefits while expanding Aviva’s UK personal-lines scale. Continued synergy delivery should support efficiency, underwriting performance and capital generation beyond the integration period.
Wealth Growth And Customer Scale Support Recurring Fee IncomeStrong net flows and a large customer base increase recurring wealth-management fees and provide cross-selling potential. Rising multiproduct adoption can also lower acquisition costs and improve retention, reinforcing Aviva’s distribution advantage.
Strong Solvency And A More Capital-light Earnings Mix Improve ResilienceA robust solvency buffer provides flexibility to absorb volatility and fund growth, while shifting toward capital-light businesses should reduce capital intensity. This mix can support higher returns and more resilient long-term cash generation.
Bears Say
Cash Generation Is Volatile And Weakened Materially In 2025Large swings in operating and free cash flow make internally generated funding less predictable. Although insurers naturally experience timing effects, repeated volatility can constrain flexibility for investment, distributions and strategic execution.
Thin And Inconsistent Profitability Reduces Earnings QualityRapid top-line expansion has not translated consistently into strong bottom-line margins. Low profitability and prior losses indicate sensitivity to claims, investment results and one-off items, making sustained earnings growth less certain.
Claims, Catastrophe And Segment Execution Risks Pressure MarginsAviva remains exposed to weather and catastrophe losses, adverse protection experience and slower Health growth. These issues can raise combined ratios, require additional investment and delay margin improvement across affected businesses.
AV FAQ
What was Aviva plc’s price range in the past 12 months?
Aviva plc lowest share price was 590.60 p and its highest was 740.60 p in the past 12 months.
What is Aviva plc’s market cap?
Aviva plc’s market cap is £22.04B.
When is Aviva plc’s upcoming earnings report date?
Aviva plc’s upcoming earnings report date is Mar 04, 2027 which is in 196 days.
How were Aviva plc’s earnings last quarter?
Aviva plc released its earnings results on Aug 14, 2026. The company reported 0.318 p earnings per share for the quarter, beating the consensus estimate of 0.305 p by 0.013 p.
Is Aviva plc overvalued?
According to Wall Street analysts Aviva plc’s price is currently Undervalued.
Does Aviva plc pay dividends?
Aviva plc pays a Semiannually dividend of 26.2 p which represents an annual dividend yield of 5.46%. See more information on Aviva plc dividends here
What is Aviva plc’s EPS estimate?
Aviva plc’s EPS estimate is 0.29.
How many shares outstanding does Aviva plc have?
Aviva plc has 3,001,450,700 shares outstanding.
What happened to Aviva plc’s price movement after its last earnings report?
Aviva plc reported an EPS of 0.318 p in its last earnings report, beating expectations of 0.305 p. Following the earnings report the stock price went up 1.822%.
Which hedge fund is a major shareholder of Aviva plc?
Currently, no hedge funds are holding shares in GB:AV
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
Aviva plc Stock Smart Score
Outperform
1
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4
5
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7
8
9
10
Analyst Consensus
Moderate Buy
Average Price Target:
£746.20 (7.99% Upside)
£746.20 (7.99% Upside)
Blogger Sentiment
Bullish
GB:AV Sentiment 100%
Sector Average 54%
Sector Average 54%
News Sentiment
Very Bullish
Bullish news 100%
Bearish news 0%
Bearish news 0%
Technicals
SMA
Positive
20 days / 200 days
Momentum
44.25%
12-Months-Change
Fundamentals
Return on Equity
5.46%
Trailing 12-Months
Asset Growth
16.73%
Trailing 12-Months
Company Description
Aviva plc
Aviva plc (AV) is a UK-based insurance and long-term savings group that provides life insurance, general insurance, health-related cover, and retirement and investment solutions to individuals and businesses. The company operates primarily in the UK and Ireland and also serves customers through selected international operations, distributing products through direct channels, advisers/brokers, and partnerships. Its core offerings include motor and home insurance, life and pensions products (including annuities), and asset management and wealth solutions linked to long-term savings.
AV Stock 12 Month Forecast
Average Price Target
746.20 p
▲(7.99% Upside)









