The company in question is, Aviva plc (NYSE:AV) currently with a stock price of 10 (-0.64% today). The market cap for Aviva plc is 20321.2, and is in the sector Financial, and Life Insurance industry. The target price for Aviva plc is *TBA. Currently Aviva plc is trading with a P/E of 17.05, and a forward P/E of *TBA. Average volume for Aviva plc is 386.73 and so far today it is 102481.
Performance in the last year for Aviva plc has been -36.93%. For EPS growth, Aviva plc has seen a growth of *TBA, and is looking to grow in the next year to *TBA. More long term stats show that EPS growth has been *TBA over the last five years and could be *TBA for the next five years. Aviva plc has seen sales growth quarter over quarter at *TBA, with EPS growth quarter over quarter at *TBA. The 20-day simple moving average is -14.14%, with the 200-day simple moving average coming to -22.97%.
Since the IPO date for Aviva plc on the 10/20/2009, Aviva plc has seen performance year to date to be -31.68%. With Aviva plc trading at 10, the dividend yield is 6.06%, and the EPS is 0.59.
So could Aviva plc, be undervalued? Well as said before P/E is 17.05. The PEG is *TBA, P/S is 0.73 and the P/B is at 0.91. The P/cash is *TBA, with P/free cash flow at *TBA.
Aviva plc ability to deal with debt shows that the current ratio is *TBA, and the quick ratio is *TBA. This is with long term debt/equity at *TBA, and total debt/equity at *TBA.
In terms of margins, Aviva plc has a gross margin of *TBA, an operating margin of *TBA and a profit margin of *TBA.Payout ratio for Aviva plc is *TBA. Return on assets come to *TBA with return on investment coming to *TBA.
Insider ownership for Aviva plc, is at *TBA and institutional ownership comes to *TBA. Outstanding shares are at 2020. While shares float is 1960. The float short is currently 0.04%, and short ratio is 2.18.