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Aviva plcLSE:AV. Rapport sur les actions

Capitalisation boursière UK£20.6b
Prix de l'action
n/a
1Y8.2%
7D4.7%
1D1.8%
Valeur du portefeuille
Voir

Aviva plc

LSE:AV. Rapport sur les actions

Capitalisation boursière : UK£20.6b

Aviva (AV.) Aperçu de l'action

Aviva plc propose divers produits d'assurance, de retraite et de patrimoine au Royaume-Uni, en Irlande, au Canada, en Inde et en Chine. Plus de détails

AV. analyse fondamentale
Score flocon de neige
Évaluation2/6
Croissance future3/6
Performances passées4/6
Santé financière3/6
Dividendes3/6

AV. Community Fair Values

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Aviva plc Concurrents

Historique des prix et performances

Résumé des hausses, des baisses et des variations du cours de l'action pour la période du 1er janvier au 31 décembre 2009 Aviva
Historique des cours de bourse
Prix actuel de l'actionUK£6.88
Plus haut sur 52 semainesUK£7.01
Plus bas sur 52 semainesUK£5.91
Bêta0.62
Variation sur 1 mois6.73%
Variation sur 3 mois7.94%
Variation sur 1 an8.21%
Variation sur 3 ans71.14%
Variation sur 5 ans34.87%
Évolution depuis l'introduction en bourse6.71%

Nouvelles et mises à jour récentes

Mise à jour du récit Jun 24

AV.: Retirement Savings Scale And Mixed Broker Views Will Shape Medium-Term Path

Analysts have inched their blended price target for Aviva higher to about £6.93 per share, a move underpinned by the recent mix of target tweaks from Morgan Stanley, JPMorgan and Berenberg, alongside relatively stable assumptions for discount rate, growth and future P/E in valuation models. Analyst Commentary Recent research on Aviva reflects a mix of optimism and caution, with price targets ranging from about £6.80 to £8.00 per share and ratings spanning Buy, Neutral and Equal Weight.
Mise à jour du récit Jun 05

AV.: Retirement Savings Position And Direct Line Synergies Will Support Medium Term Upside

Narrative Update on Aviva Analysts have nudged the price target on Aviva slightly lower to around £7.15 to £7.65, reflecting a mix of views that balance JPMorgan's recent cut to £7.15, Berenberg's new £8.00 Buy initiation, and Deutsche Bank's modest lift to £7.65 as they weigh Aviva's position in the growing pool of UK retirement savings assets against more cautious sector views. Analyst Commentary Recent research on Aviva presents a mixed picture, with some analysts leaning positive on growth opportunities in UK retirement savings and others more cautious on execution and valuation.
Mise à jour du récit May 13

AV.: Dividend And Buyback Policy Will Underpin Balanced Medium Term Execution Risks

Analysts have nudged their fair value estimate for Aviva higher to about £6.86 per share, supported by a slightly increased price target to £7.65 and updated assumptions on discount rate, profit margin and future P/E. Analyst Commentary Recent Street research on Aviva shows a mix of optimism on valuation and caution on execution, which helps explain why fair value estimates and price targets sit close to each other around the mid £6 to £7 range.
Mise à jour du récit Apr 27

AV.: Dividend And Buyback Policy Will Support Measured Medium Term Outlook

Analysts have nudged their 12 month price target for Aviva up by £0.05 to £7.65, citing updated assumptions around profit margin and a slightly higher future P/E multiple as key drivers of the revision. Analyst Commentary Analysts making bullish adjustments to their models are using the small uplift in the 12 month price target to reflect what they see as a modestly stronger outlook for Aviva's profitability and valuation multiples.
Mise à jour du récit Apr 12

AV.: Dividend And Buyback Policy Will Support Measured Medium Term Outlook

Analysts have nudged their price target for Aviva up to £7.65 from £7.60, citing a slightly higher assumed future P/E multiple and firmer profit margin expectations, even as revenue growth assumptions are moderated. Analyst Commentary Recent research points to slightly stronger confidence in Aviva's ability to support a higher valuation, reflected in a modest increase in the assumed future P/E multiple and price target to £7.65.

Recent updates

Mise à jour du récit Jun 24

AV.: Retirement Savings Scale And Mixed Broker Views Will Shape Medium-Term Path

Analysts have inched their blended price target for Aviva higher to about £6.93 per share, a move underpinned by the recent mix of target tweaks from Morgan Stanley, JPMorgan and Berenberg, alongside relatively stable assumptions for discount rate, growth and future P/E in valuation models. Analyst Commentary Recent research on Aviva reflects a mix of optimism and caution, with price targets ranging from about £6.80 to £8.00 per share and ratings spanning Buy, Neutral and Equal Weight.
Mise à jour du récit Jun 05

AV.: Retirement Savings Position And Direct Line Synergies Will Support Medium Term Upside

Narrative Update on Aviva Analysts have nudged the price target on Aviva slightly lower to around £7.15 to £7.65, reflecting a mix of views that balance JPMorgan's recent cut to £7.15, Berenberg's new £8.00 Buy initiation, and Deutsche Bank's modest lift to £7.65 as they weigh Aviva's position in the growing pool of UK retirement savings assets against more cautious sector views. Analyst Commentary Recent research on Aviva presents a mixed picture, with some analysts leaning positive on growth opportunities in UK retirement savings and others more cautious on execution and valuation.
Mise à jour du récit May 13

AV.: Dividend And Buyback Policy Will Underpin Balanced Medium Term Execution Risks

Analysts have nudged their fair value estimate for Aviva higher to about £6.86 per share, supported by a slightly increased price target to £7.65 and updated assumptions on discount rate, profit margin and future P/E. Analyst Commentary Recent Street research on Aviva shows a mix of optimism on valuation and caution on execution, which helps explain why fair value estimates and price targets sit close to each other around the mid £6 to £7 range.
Mise à jour du récit Apr 27

AV.: Dividend And Buyback Policy Will Support Measured Medium Term Outlook

Analysts have nudged their 12 month price target for Aviva up by £0.05 to £7.65, citing updated assumptions around profit margin and a slightly higher future P/E multiple as key drivers of the revision. Analyst Commentary Analysts making bullish adjustments to their models are using the small uplift in the 12 month price target to reflect what they see as a modestly stronger outlook for Aviva's profitability and valuation multiples.
Mise à jour du récit Apr 12

AV.: Dividend And Buyback Policy Will Support Measured Medium Term Outlook

Analysts have nudged their price target for Aviva up to £7.65 from £7.60, citing a slightly higher assumed future P/E multiple and firmer profit margin expectations, even as revenue growth assumptions are moderated. Analyst Commentary Recent research points to slightly stronger confidence in Aviva's ability to support a higher valuation, reflected in a modest increase in the assumed future P/E multiple and price target to £7.65.
Mise à jour du récit Mar 09

AV.: Dividend And Buyback Returns Will Support Bullish Medium Term Outlook

Analysts have trimmed their price target on Aviva to £6.70 from £6.90, reflecting updated expectations around revenue growth, profit margins, and a higher assumed future P/E multiple. Analyst Commentary Bullish Takeaways Bullish analysts still see valuation support around the £6.70 target, suggesting the stock is closer to what they view as fair value after recent adjustments to revenue and margin assumptions.
Mise à jour du récit Feb 22

AV.: Neutral Sector Views And Trimmed Outlook Will Shape Medium Term Returns

Analysts have trimmed their price targets for Aviva from around £6.90 to about £6.70 per share, reflecting a more cautious stance on European insurers while keeping assumptions such as fair value and discount rates broadly unchanged. Analyst Commentary Recent research has become more cautious on Aviva, with price targets clustered just below £6.75 and ratings sitting around the middle of the scale rather than clearly positive or negative.
Mise à jour du récit Feb 07

AV.: Medium Term EPS Ambitions And Softer Sector Views Will Shape Returns

Analysts have trimmed their price targets for Aviva to a range around £6.70 per share, reflecting updated views on fair value, discount rates and future P/E, as well as more cautious sector outlooks from recent research. Analyst Commentary Recent research updates have converged around price targets close to £6.70 per share, with ratings generally sitting in the middle of the range rather than firmly positive or negative.
Mise à jour du récit Jan 22

AV.: Medium Term Earnings Targets And Softer Ratings Will Shape Balanced Return Profile

Narrative Update on Aviva Analysts have trimmed their average price targets on Aviva to around £6.79 from about £6.84. This reflects recent cuts to Street targets in the £6.70 range as they factor in updated views on growth, margins and fair value.
Article d’analyse Dec 12

Investors Still Waiting For A Pull Back In Aviva plc (LON:AV.)

When close to half the companies in the United Kingdom have price-to-earnings ratios (or "P/E's") below 15x, you may...
Mise à jour du récit Nov 10

AV.: Improved Margins Will Offset Slower Revenue And Support Dividend Growth

Analysts have modestly increased their price target for Aviva to £6.84 per share, citing stronger profit margins and a positive outlook, even though revenue growth has been slower. Analyst Commentary Recent analyst updates on Aviva reflect a balanced view of the company’s prospects, highlighting both improved valuations and areas of potential concern for investors.
Mise à jour du récit Oct 27

UK Pension Shifts And Changing Ratings Will Influence Market Performance

Narrative Update: Aviva Analyst Price Target Revision Analysts have raised their price target for Aviva to £6.87 from £6.23. They cite incremental improvements in revenue growth projections and stable profit margins as key factors supporting the upward revision.
Mise à jour du récit Oct 13

UK Pension And Digital Trends Will Reshape Market Dynamics

Aviva's analyst price target has been raised from £6.72 to £6.82 per share as analysts incorporate improved profit margins and a slightly lower discount rate into their updated forecasts. Analyst Commentary Recent analyst activity has highlighted a divergence of opinion regarding Aviva's prospects, with both upgrades and downgrades influencing sentiment.
Mise à jour du récit Sep 19

UK Pension And Digital Trends Will Reshape Market Dynamics

Aviva's price target has been revised upwards to £6.72, reflecting accelerated earnings growth led by capital-light businesses, improved sector positioning, and higher shareholder return prospects despite some views of the shares as fairly valued at current levels. Analyst Commentary Expectations for accelerated earnings growth, with a significant portion (70%) coming from capital-light business streams, supporting stronger cash generation and improving quality of earnings.
Mise à jour du récit Sep 04

UK Pension And Digital Trends Will Reshape Market Dynamics

Analysts remain positive on Aviva due to its growing capital-light earnings streams and solid operating momentum, though neutral ratings and sector valuation considerations have kept the consensus price target unchanged at £6.64. Analyst Commentary Bullish analysts are raising price targets on expectations that over 70% of Aviva’s earnings will be from capital-light streams, improving the company’s quality and growth potential.
User avatar
Nouveau récit Mar 02

Acquisition Of Direct Line Will Yield £125 Million In Cost Savings And Unlock Capital Benefits

Strategic focus on capital-light portfolios and acquisitions set to enhance growth, net margins, and shareholder returns with reduced capital requirements.

Rendement pour les actionnaires

AV.GB InsuranceGB Marché
7D4.7%1.7%1.9%
1Y8.2%19.9%17.7%

Rendement vs Industrie: AV. a sous-performé le secteur UK Insurance qui a rapporté 19.9 % au cours de l'année écoulée.

Rendement vs marché: AV. a sous-performé le marché UK qui a rapporté 17.7 % au cours de l'année écoulée.

Volatilité des prix

Is AV.'s price volatile compared to industry and market?
AV. volatility
AV. Average Weekly Movement2.6%
Insurance Industry Average Movement3.4%
Market Average Movement5.1%
10% most volatile stocks in GB Market10.4%
10% least volatile stocks in GB Market2.7%

Cours de l'action stable: AV. n'a pas connu de volatilité de prix significative au cours des 3 derniers mois par rapport au marché UK.

Volatilité au fil du temps: La volatilité hebdomadaire de AV. ( 3% ) est restée stable au cours de l'année écoulée.

À propos de l'entreprise

FondéeSalariésPDGSite web
169639,359Amanda Blancwww.aviva.com

Aviva plc propose divers produits d'assurance, de retraite et de patrimoine au Royaume-Uni, en Irlande, au Canada, en Inde et en Chine. Elle exerce ses activités dans les secteurs suivants : assurance générale ; assurance, patrimoine et retraite ; Aviva Investors ; et investissements internationaux. La société propose des assurances gadget, habitation, automobile, animaux de compagnie et santé, ainsi que des assurances et protections commerciales et spécialisées.

Aviva plc Résumé des fondamentaux

Comment les bénéfices et les revenus de Aviva se comparent-ils à sa capitalisation boursière ?
AV. statistiques fondamentales
Capitalisation boursièreUK£20.58b
Bénéfices(TTM)UK£767.00m
Recettes(TTM)UK£28.68b
26.8x
Ratio P/E
0.7x
Ratio P/S

Le site AV. est-il surévalué ?

Voir Juste valeur et analyse de l'évaluation

Bénéfices et recettes

Principales statistiques de rentabilité tirées du dernier rapport sur les bénéfices (TTM)
AV. compte de résultat (TTM)
RecettesUK£28.68b
Coût des recettesUK£23.18b
Marge bruteUK£5.50b
Autres dépensesUK£4.73b
Les revenusUK£767.00m

Derniers bénéfices déclarés

Dec 31, 2025

Prochaine date de publication des résultats

Aug 14, 2026

Résultat par action (EPS)0.26
Marge brute19.18%
Marge bénéficiaire nette2.67%
Ratio dettes/capitaux propres108.1%

Quelles ont été les performances à long terme de AV.?

Voir les performances historiques et les comparaisons

Dividendes

5.7%
Rendement actuel des dividendes
146%
Ratio de distribution

Analyse de l'entreprise et données financières

DonnéesDernière mise à jour (heure UTC)
Analyse de l'entreprise2026/07/22 13:33
Cours de l'action en fin de journée2026/07/22 00:00
Les revenus2025/12/31
Revenus annuels2025/12/31

Sources de données

Les données utilisées dans notre analyse de l'entreprise proviennent de S&P Global Market Intelligence LLC. Les données suivantes sont utilisées dans notre modèle d'analyse pour générer ce rapport. Les données sont normalisées, ce qui peut entraîner un délai avant que la source ne soit disponible.

PaquetDonnéesCadre temporelExemple de source américaine *
Finances de l'entreprise10 ans
  • Compte de résultat
  • Tableau des flux de trésorerie
  • Bilan
Estimations consensuelles des analystes+3 ans
  • Prévisions financières
  • Objectifs de prix des analystes
Prix du marché30 ans
  • Cours des actions
  • Dividendes, scissions et actions
Propriété10 ans
  • Actionnaires principaux
  • Délits d'initiés
Gestion10 ans
  • L'équipe dirigeante
  • Conseil d'administration
Principaux développements10 ans
  • Annonces de l'entreprise

* Exemple pour les titres américains ; pour les titres non américains, des formulaires réglementaires et des sources équivalentes sont utilisés.

Sauf indication contraire, toutes les données financières sont basées sur une période annuelle mais mises à jour trimestriellement. C'est ce qu'on appelle les données des douze derniers mois (TTM) ou des douze derniers mois (LTM). En savoir plus.

Modèle d'analyse et flocon de neige

Les détails du modèle d’analyse utilisé pour générer ce rapport sont disponibles sur notre page Github ; nous proposons également des guides sur la façon d’utiliser nos rapports et des tutoriels sur YouTube.

Découvrez l'équipe de classe mondiale qui a conçu et construit le modèle d'analyse Simply Wall St.

Indicateurs de l'industrie et du secteur

Nos indicateurs de secteur et de section sont calculés toutes les 6 heures par Simply Wall St. Les détails de notre processus sont disponibles sur Github.

Sources des analystes

Aviva plc est couverte par 31 analystes. 6 de ces analystes ont soumis les estimations de revenus ou de bénéfices utilisées comme données d'entrée dans notre rapport. Les soumissions des analystes sont mises à jour tout au long de la journée.

AnalysteInstitution
Ivan BokhmatBarclays
Larissa Van DeventerBarclays
Carl LofthagenBerenberg