Aviva plc, AV is in the exchange NYSE and its industry is Life Insurance in the sector of Financial. Based in United Kingdom, Aviva plc, AV has a market cap of 19270.8. Since its IPO date on the 10/20/2009, Aviva plc, AV performance year to date is -35.21%. Today Aviva plc, AV has gained 0.94%, with a current price of 9.63.
Ownership of the company is *TBA for insider ownership while institutional ownership is *TBA. The management of the company have seen the company have a payout ratio of *TBA. Return of assets are at *TBA, with return on investment at *TBA.
In terms of debt levels and profit levels, Aviva plc, AV is seeing a long-term debt/equity of *TBA. While Total debt/equity is *TBA. With a profit margin of *TBA, this is combined with a gross margin of *TBA, and operating margin of *TBA. Aviva plc ability to meet debt levels, with a current ratio of *TBA, while the quick ratio is *TBA.
For the last year Aviva plc, AV has seen a EPS growth of *TBA. A performance for the year of -37.38%. The 52-week high is -40.17%, and the 52-week low is 5.71%. The average volume for Aviva plc, AV is 2419.
With a target price of *TBA, can Aviva plc, AV reach this target? Looking at the value indicators of Aviva plc, AV. Aviva plc has a P/E of 16.17 and a forward P/E of *TBA. Perhaps the more useful indicator than P/E, is PEG which has a value of *TBA. Aviva plc also has a P/S and a P/B of 0.69 and 0.86 respectively. For P/cash, Aviva plc has a value of *TBA, while it is *TBA for P/free cash flow.
At the current price of 9.63, Aviva plc has a dividend yield of 6.39%. We see a return on equity of *TBA.
Looking more long-term Aviva plc, is projected to get an EPS growth for the next five years of *TBA. In the short-term an EPS growth of *TBA in the next year is forecasted. This is after a EPS growth of *TBA for this year and for the last five years a *TBA growth has been seen.