Aviva PLC (AV.)

Industry Insurance - Diversified

This stock can be held in an Investment ISA, SIPP and Investment Account
Sell

588.00p

Buy

588.40p

arrow-up3.40p (+0.58%)

Aviva PLC is a leading provider of insurance, savings, and asset management products and services. The company offers life, health, and general insurance along with savings products.
Prices updated at 16 May 2025, 17:41 BST
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Prices in GBX

Income statement

20172018201920202021202220232024
48,869m18,166m66,546m30,556m32,986m-26,792m32,920m31,760m
--------
--------
--------
1,497m1,568m2,548m2,798m1,966m-1,051m1,085m683m
--------
Sales, General and administrative--------
Interest expenses545m513m496m484m440m389m401m395m
Provision for income taxes357m442m700m303m220m-445m335m292m
Operating expenses--------
Income before taxes2,003m2,129m3,320m1,769m556m-1,475m1,441m997m
Net income available to common shareholders1,415m1,515m2,497m2,754m1,948m-1,085m1,085m683m
0.345850.377470.6304350.6936760.495059-0.3820.3770.236
Net interest income-636m-573m-568m-549m-503m-470m-479m-491m
Advertising and promotion--------
Net investment income, net7,200m-29,758m17,799m3,032m5,719m-41,933m15,370m13,365m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.3418970.3735180.6235180.6897230.491107-0.3820.3720.233
Free cash flow per share1.99031.22420.41571.1149-0.36750.74063.0784-0.4388
Book value/share4.38954.32874.45324.67254.71744.96773.36233.3602
Debt equity ratio0.581130.5303370.5353550.5223210.4522720.7099130.7371720.728933

Balance sheet

20172018201920202021202220232024
Current assets--------
Current liabilities--------
Total capital27,518m26,658m26,509m29,130m26,496m19,088m15,605m13,867m
Total debt10,785m9,983m10,481m11,125m8,423m8,070m7,367m6,886m
Total equity17,900m17,489m17,708m19,554m19,202m12,585m9,282m8,305m
Total non current liabilities--------
Loans9,618m9,169m8,801m9,576m7,294m6,503m6,323m5,562m
Total assets442,685m430,478m460,043m479,857m358,474m315,316m328,843m353,883m
Total liabilities--------
Cash and cash equivalents43,347m46,484m19,524m16,900m12,485m22,505m17,273m23,481m
Common stock4,058m3,949m3,968m3,976m3,811m2,808m2,739m2,660m

Cash flow

20172018201920202021202220232024
Cash at beginning of period38,405m43,587m16,051m19,434m16,182m11,878m21,576m16,652m
Cash dividends paid-1,000m-1,145m-1,201m-253m-1,127m-845m-895m-938m
7,565m5,807m5,821m-2,853m-2,966m15,784m-3,082m8,272m
Investments (gains) losses-195m437m-150m-165m74m-339m-350m162m
43,587m46,609m19,434m16,182m11,878m21,576m16,652m22,553m
Net income--------
7,741m5,958m5,968m-2,684m-2,858m15,883m-2,732m8,445m
-176m-151m-147m-169m-108m-99m-350m-173m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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