Today’s top gainers include the company Aviva plc (NYSE:AV) which is in the industry Life Insurance, gaining 0.74% today. In the last week its performance is -4.74%, and -22.67% for the past quarter. Currently, Aviva plc, AV has a target price of *TBA, so today’s gain of 0.74% is a significant step towards its target price. The GAP today is therefore 1.59%.
Aviva plc (NYSE:AV), has a market cap of 19089, and is based in United Kingdom. Insider ownership is at *TBA, and institutional ownership is *TBA.
At the current price of 9.52, it has a dividend yield of 6.46%, and its target price is *TBA. This is with a profit margin of *TBA, and total debt/equity of *TBA. Aviva plc (NYSE:AV) has a P/E of 14.32, as well as a forward P/E of *TBA.
With a current EPS of 0.66, and a forecasted EPS growth for next year at *TBA,Aviva plc (NYSE:AV) has had a EPS growth for the past five years at *TBA. For the next five years EPS growth is projected to be *TBA.
Performance for the year is -34.62%. Since its IPO date on 10/20/2009, the total performance to date is -35.82%.
Volume today for Aviva plc (NYSE:AV), is 111639, while its average volume is 361.08. Whilst the total gain today was 0.74%, it did have a day high of -30.05%.
Volatility for this week has been at 2.58%, and 2.38% for the month. The 52-week low for Aviva plc, AV has been 4.50%, while the 52-week-high has reached -40.85%.
Looking at its return of investments, which is *TBA, and its return on assets is *TBA. Aviva plc (NYSE:AV) has an operating margin of *TBA. With a sales growth of *TBA quarter over quarter. Bearing in mind that Aviva plc, AV is in the sector Financial, its long-term debt/equity is *TBA, and has a current ratio of *TBA and *TBA for quick ratio.
So what is the value of Aviva plc? Well its PEG is *TBA, and the P/S is 0.68, along with a P/B of 0.84. Meanwhile it has a p/cash of *TBA.