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Aviva plc
Video analysis: AVVIY
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News: AVVIY
RBC keeps "outperform" rating on Aviva after chief financial officer briefing
RBC Capital Markets has an "outperform" rating on Aviva PLC (LSE:AV.), with a price target of 780p, after hosting the insurer's chief financial officer, Charlotte Jones, as part of its "Back-to-School" investor call series.
Zacks Industry Outlook Aviva, Reinsurance, Primerica, Voya and Lincoln National
Aviva, Reinsurance, Primerica, Voya and Lincoln National have been highlighted in this Industry Outlook article.
5 Life Insurance Stocks to Watch Despite Low-Interest Rate Environment
Redesigning and repricing of products and services amid a low-rate environment are likely to help Zacks Life Insurance industry players like AVVIY, RGA, PRI, VOYA and LNC. These companies are investing heavily in digitization.
Aviva plc (AVVIY) Q2 2026 Earnings Call Transcript
Aviva plc (AVVIY) Q2 2026 Earnings Call Transcript
Aviva Posts Strong First-Half Profit Growth
The insurer and asset manager's operating profit rose in the first half, though it cut its full-year expectations for its health business.
Aviva operating profit jumps 24% as Direct Line integration gathers pace
Aviva PLC (LSE:AV.) reported a 24% increase in first-half operating profit to £1.33 billion as its General Insurance businesses strengthened and the integration of Direct Line progressed, prompting the insurer to lift its interim dividend by 7%.
JP Morgan switches to Aviva as cash flow gap opens up in UK life insurance
JP Morgan has upgraded Aviva PLC (LSE:AV.) to 'overweight' and downgraded Legal & General Group PLC (LSE:LGEN) and M&G PLC (LSE:MNG) to 'underweight', arguing that relative value across the UK life insurance sector has shifted.
Critical Contrast: Aviva (OTCMKTS:AVVIY) and Universal Insurance (NYSE:UVE)
Aviva (OTCMKTS:AVVIY - Get Free Report) and Universal Insurance (NYSE: UVE - Get Free Report) are both finance companies, but which is the superior stock? We will contrast the two businesses based on the strength of their dividends, analyst recommendations, profitability, earnings, risk, institutional ownership and valuation. Volatility and Risk Aviva has a beta of 0.84,