Aviva plc AV.L
Composite 46/100; the shares have moved about 20% annualised. Names that move more contribute more risk for the same amount invested, and our composite reflects how strong the evidence for this one is right now.
Balance-sheet strength ranks 31/100 — a moderate mark against it.
Momentum ranks 74/100 — a moderate point in its favour. Income ranks 58/100 — a slight point in its favour. Valuation ranks 57/100 — a slight point in its favour.
Balance-sheet strength ranks 31/100 — a moderate mark against it. Quality ranks 32/100 — a moderate mark against it. Growth ranks 43/100 — a slight mark against it.
What the company does Aviva plc is a diversified insurer offering general, life, protection, and wealth products across the UK, Ireland, Canada, India, and China. It operates through General Insurance; Insurance, Wealth & Retirement; Aviva Investors; and International Investments segments.
Key financials Aviva reports ROE 10.7%, ROA 0.5%, and net margin 3.2%. Revenue grew 37.1% and EPS 979.5%. Debt/Equity is 1.12 with a current ratio of 1.54. Dividend yield is 5.7% with a payout ratio of 139.2%.
Stock health SiderAvia scores: Quality 34.0, Growth 72.7, Strength 35.8, Valuation 63.9, Momentum 60.8, Income 63.4. Piotroski F-Score is 6/9. 12-month momentum is 7.52% with RSI(14) at 63.80.
Price vs fair value The stock trades at a PREMIUM of 7.60% versus our fair-value estimate of 634.24. - Zacks rates Aviva a Buy with an upgrade (Zacks, 2026-07-29). - Analyst 12-month target of 694.18 implies a discount of 1.10% (analyst count 14.0). - SiderAvia valuation percentile 63.9/100 suggests fair value.
Looking forward Forward P/E of 14.16 and PEG of 0.16 indicate potential undervaluation relative to growth. Gross margin is 19.2% with operating margin at 11.5%.
This is not investment advice. Sideravia provides automated, data-driven analysis for information and education only. Nothing on this page is a personal recommendation or an invitation to buy or sell any security, and it does not consider your objectives or financial situation. Assessments are generated by rules applied uniformly to every covered stock — how our scores work.
Data as of 2026-09-03, compiled from third-party sources; errors and delays are possible and figures are not warranted. Investing puts your capital at risk; past performance does not predict future results. We publish our full track record, including the calls that lost, and our conflicts of interest.