Aviva PLC
LSE:AV
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P/B
Price to Book (P/B) ratio compares a company`s market value to its book value. It shows how much investors are paying for each dollar of net assets on the balance sheet.
Price to Book (P/B) ratio compares a company`s market value to its book value. It shows how much investors are paying for each dollar of net assets on the balance sheet.
Valuation Scenarios
If P/B returns to its 3-Year Average (1.4), the stock would be worth GBX489.56 (23% downside from current price).
| Scenario | P/B Value | Implied Price | Upside/Downside |
|---|---|---|---|
| Current Multiple | 1.8 | GBX633.1 |
0%
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| 3-Year Average | 1.4 | GBX489.56 |
-23%
|
| 5-Year Average | 1.1 | GBX382.26 |
-40%
|
| Industry Average | 0 | GBX8.61 |
-99%
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| Country Average | 0 | GBX7.92 |
-99%
|
Forward P/B
Today’s price vs future total equity
Peer Comparison
| Market Cap | P/B | P/E | ||||
|---|---|---|---|---|---|---|
| UK |
|
Aviva PLC
LSE:AV
|
19.3B GBP | 1.8 | 25.2 | |
| DE |
|
Allianz SE
XETRA:ALV
|
149B EUR | 2.4 | 14.1 | |
| FR |
|
AXA SA
PAR:CS
|
84.4B EUR | 1.8 | 8.8 | |
| CH |
|
Zurich Insurance Group AG
SIX:ZURN
|
76.9B CHF | 3.5 | 14.6 | |
| IT |
|
Assicurazioni Generali SpA
MIL:G
|
57.5B EUR | 1.8 | 41.5 | |
| CN |
|
China Pacific Insurance Group Co Ltd
SSE:601601
|
349.6B CNY | 1.2 | 6.5 | |
| US |
|
American International Group Inc
NYSE:AIG
|
39.9B USD | 1 | 12.9 | |
| US |
|
Hartford Financial Services Group Inc
NYSE:HIG
|
38.2B USD | 2 | 9.4 | |
| DE |
|
Talanx AG
XETRA:TLX
|
29.1B EUR | 2.2 | 11.9 | |
| FI |
|
Sampo Oyj
OMXH:SAMPO
|
23.8B EUR | 2.9 | 11.7 | |
| IT |
|
Unipol Gruppo SpA
MIL:UNI
|
15.8B EUR | 1.5 | 10.6 |
Market Distribution
| Min | 0 |
| 30th Percentile | 0 |
| Median | 0 |
| 70th Percentile | 0 |
| Max | 49 422.3 |
Other Multiples
Aviva PLC
Glance View
Aviva PLC, an unmistakable presence in the financial services sector, weaves a narrative of resilience and transformation. Founded in 1696 and headquartered in London, Aviva stands as one of Britain's foremost insurance giants, with a rich history that speaks to its ability to adapt and evolve through centuries. This legacy company distinguishes itself by providing a diverse portfolio of services, primarily centered around insurance, savings, and investment solutions. Operating in several markets, Aviva focuses on its core businesses, strategically channeling efforts towards the United Kingdom, Ireland, and Canada, after shedding some non-core international operations. This streamlined approach allows the firm to concentrate on enhancing customer experience and investing in digital innovation, redefining how clients engage with insurance and financial products in an ever-accelerating digital world. At the heart of its operations lies a business model adept at navigating the complexities of risk management and capital allocation. Aviva makes money through a combination of underwriting profits and investment income. It collects premiums from policyholders in various segments—ranging from life insurance, general insurance, and health insurance to proposition-driven asset management services—and invests these funds across a diversified array of financial instruments, thus generating additional revenue. By employing meticulous pricing strategies and underwriting practices, Aviva balances the art of risk with the science of financial management, ensuring profitability while maintaining robust reserves to meet future claims. Its commitment to sustainability and responsible investing also plays a crucial role, as Aviva seeks not only to secure financial returns but also to generate long-term value for its stakeholders in a rapidly changing global landscape.