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Relative Value

The Relative Value of one AV stock under the Base Case scenario is 420.98 GBX. Compared to the current market price of 652.8 GBX, Aviva PLC is Overvalued by 36%.

Relative Value is the estimated value of a stock based on various valuation multiples like P/E and EV/EBIT ratios. It offers a quick snapshot of a stock's valuation in relation to its peers and historical norms.

AV Relative Value
Base Case
420.98 GBX
Overvaluation 36%
Relative Value
Price
Worst Case
Base Case
Best Case

Valuation Multiples

Multiples Across Competitors

AV Competitors Multiples
Aviva PLC Competitors

All Multiples
P/S
P/E
P/B
All Countries
Close
Market Cap P/S P/E P/B
UK
Aviva PLC
LSE:AV
19.9B GBP 0.7 25.9 1.9
DE
Allianz SE
XETRA:ALV
137.7B EUR 1 9.1 2.3
CH
Zurich Insurance Group AG
SIX:ZURN
79.2B CHF 1.3 15 3.6
FR
AXA SA
PAR:CS
83.9B EUR 0.9 11 1.8
IT
Assicurazioni Generali SpA
MIL:G
52.8B EUR 1.2 30.2 1.8
CN
China Pacific Insurance Group Co Ltd
SSE:601601
389B CNY 1.2 7.4 1.4
US
American International Group Inc
NYSE:AIG
41.2B USD 1.5 13.3 1
US
Hartford Financial Services Group Inc
NYSE:HIG
37.5B USD 1.3 9.8 2
DE
Talanx AG
XETRA:TLX
29.1B EUR 0.6 12.9 2.5
FI
Sampo Oyj
OMXH:SAMPO
25.5B EUR 2.3 12.8 3.2
IT
Unipol Gruppo SpA
MIL:UNI
14.3B EUR 1.5 9.7 1.4
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Intrinsic Value is all-important and is the only logical way to evaluate the relative attractiveness of investments and businesses.

Warren Buffett