Aviva PLC Fundamentals Datasheet and Stock Analysis


Aviva PLC Company Logo
Aviva plc is a holding company. The Company provides customers with long-term insurance and savings, general and health insurance, and fund management products and services. Its segments include United Kingdom & Ireland; France; Poland; Italy, Spain and Other; Canada; Asia; Aviva Investors, and Other Group activities. The United Kingdom and Ireland segment consists of two operating segments: Life and General Insurance. The principal activities of its French operations are long-term business and general insurance. Its Poland Activities in Poland consist of long-term business and general insurance operations. Its Italian operations are long-term business and general insurance. The principal activity of the Canadian operation is general insurance. Its activities in Asia consist of its long-term business operations in China, India, Singapore, Hong Kong, Vietnam, Indonesia, Taiwan and international operations. The Aviva Investors segment offers a range of asset management services.

  • Current Price:
  • Industry:
  • Sector:
  • ISIN:
  • Market Sector:
  • Main Indices:
     FTSE 100, FTSE Eurotop 300, FTSE-350, FTSE All-Share, FTSE All-Share
  • Country of register:
     Great Britain
  • Currency:
  • Shares in Issue:
  • Market Cap:
  • Date Listed:
Operation Breakdown
Geographical - by origin (turnover)
Product (turnover)


Activity Data Not Available

Company Information

CEO: Maurice Tulloch  CFO: Tom Stoddard  Non-Executive Chairman: Adrian Montague  Senior Independent Non-Executive Director: Glyn Barker  Independent Non-Executive Director: Belen Romana Garcia, Michael Mire, Claudia Arney Patricia Cross  

  • Registrars:
  • Address:
     St Helens, 1 Undershaft, London
  • Phone:
     +44 (0)20 7283 2000
  • Website:
Composite Ranking: 75
Historic EPS Ranking: 42
Forecast EPS Ranking: 81
Price Relative Strength: 31
Industry Strength: 
SMR Ranking: D
ROCE Ranking: D
Accumulation/Dist: A
Mkt Accumulation/Dist: 
Unbroken Annual EPS: C
Unbroken Interim EPS: D
PEG Current Ranking: E
PEG Forecast Ranking: A
PE Current Ranking: C
PE Forecast Ranking: B
Margin Current Ranking: C
Margin Forecast Ranking: C
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Takes the average of data over a period of time, and migrates the period across the data series one data point at a time. This formula smooths a data series and makes analysing volatile data easier.
Operating Profit/(loss)£m1,304.001,846.003,056.001,631.002,254.003,016.002,113.00£m0.000.00
Profit Before Tax£m396.001,472.002,663.001,195.001,833.002,374.001,652.00£m3,099.623,150.39
Profit After Tax£m(86.00)878.001,680.001,097.00859.001,646.001,687.00£m0.000.00
Profit After Tax (from discontinued operations)£m(2,848.00)1,273.0058.£m0.000.00
Overall Profit for the Period£m(2,934.00)2,151.001,738.001,097.00859.001,646.001,687.00£m0.000.00
EPS Growth%0.000.00118.81(52.20)(33.77)129.149.25%58.006.00
Earnings Per Sharep(11.20)21.8047.7022.8015.1034.6037.80p60.3564.16
Op. Cash Flow P/Sp0.42134.88(18.21)125.79116.09189.31148.58£0.000.00
Cash Flow P/S Grth%0.0032,
Net Cash Flow P/Sp793.88888.81785.08831.92952.930.000.00£0.000.00
Capital Exp P/S££0.000.00
Tax Rate%59.1444.0838.8722.9816.300.000.00%0.000.00
P/E Ratiox0.006.809.6022.5031.8014.509.90x6.906.50
P/E Growth££0.101.00
Turnover Per Share£781.58749.49736.32541.63626.340.000.00£0.000.00
Pre-Tax Profit / Share£13.6150.0790.4929.5245.130.000.00£0.000.00
Operating Margin%6.458.3814.107.448.8610.937.37%0.000.00
Mkt Cap£m11,068.0213,175.7714,327.5721,011.5319,755.3319,834.0214,747.27£m0.000.00
Dividend Per Sharep19.0015.0018.1020.8023.3027.4030.00p32.5333.99
DPS Growth%(26.92)0.000.0014.9212.0217.609.49%0.000.00
Dividend Yield%5.103.403.704.004.805.408.00%7.908.20
Dividend Coverx(0.59)1.472.671.110.661.281.27x0.000.00
Shareholder Funds£m8,404.008,164.0011,110.0017,125.0018,126.0017,900.0017,489.00£m0.000.00
Net Borrowings£m(149,231.00)(183,121.00)(157,271.00)(249,061.00)(284,131.00)(433,471.00)(464,841.00)£m0.000.00
Net Assets£m11,360.0011,017.0012,276.0018,270.0019,551.0019,135.0018,455.00£m0.000.00
Net Assets P/S£199.31288.20337.95261.46296.360.000.00£0.000.00
Latest Forecast
Div Yield7.2%7.8%
Div Cover1.3%1.9%
Op Margin7.4%8.1%
Director Deals
Traded Action Notifier Price Amount Value
17-Apr-19BuyAndrew Briggs418.00p36£,150.48
27-Mar-19BuyBelen Romana Garcia414.00p1,009,634,177.26
22-Mar-19Transfer FromAndrew Briggs412.00p297,585,631,226,050.17
22-Mar-19SellAndrew Briggs412.00p197,759£,814,767.06
22-Mar-19SellTom Stoddard412.00p153,625£,632,934.98
22-Mar-19SellMaurice Tulloch412.00p133,441£,549,776.90
15-Mar-19BuyAndrew Briggs432.00p35£,151.20
19-Feb-19BuyAndrew Briggs423.00p35£,148.05
15-Jan-19BuyAndrew Briggs401.00p38£,152.38
27-Dec-18BuyPatricia Cross374.00p3,680,313,764.66
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3,916m    Major: 3%    Director: 0%
Notifier Holding Value
Maurice Tulloch635,057,652,633.17
Tom Stoddard501,180,093,428.92
Adrian Montague58,553ô,575.89
Michael Mire50,000Ð,850.01
Patricia Cross24,905h,028.19
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Gearing & Cover
News Title Date Time Source
Form 8.3 - RPC Group plc21-May-1914:40RNS
Form 8.3 - BTG PLC21-May-1914:39RNS
Form 8.3 - ONESAVINGS BANK PLC20-May-1914:37RNS
Form 8.3 - RPC Group17-May-1914:58RNS
Form 8.3 - OneSavings Bank17-May-1914:58RNS
Form 8.3 - Charter Court17-May-1914:55RNS
Form 8.3 - BTG plc17-May-1914:51RNS
Director/PDMR Shareholding17-May-1910:48RNS
Form 8.3 - OneSavings Bank plc16-May-1914:54RNS
Form 8.3 - Charter Court Financial Svs Grp PLC16-May-1914:50RNS
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Broker Opinion
Date Broker Name Rec Price Old Price Target New Price Target Broker Change
03-Mar-11Panmure GordonBuy457.30p535.00p0.00pReiteration
09-Feb-11Societe GeneraleHold461.00p475.00p0.00pDownGrade
19-Jan-11Goldman SachsBuy427.30p0.00p0.00pReiteration
14-Dec-10UBSNeutral390.90p0.00p400.00pNew Coverage
10-Dec-10Morgan StanleyEqual-weight391.40p0.00p0.00pReiteration
29-Nov-10JP Morgan CazenoveOverweight363.40p524.00p0.00pReiteration
02-Nov-10Shore CapitalBuy403.80p0.00p0.00pReiteration
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