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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
Moomoo > Quotes > AVVIY AVIVA PLC ADR > Key Indicators
AVVIY AVIVA PLC ADR
8.910
-0.210-2.30%
YOY
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(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30
Financial Ratios
Efficiency Ratios TTM
Total Asset Rate(T)
-- -- -19.25% 0.0787 -19.25% 0.0787 43.33% 0.1128
ROE
1.9% 9.628% -32.02% 10.158% -32.02% 10.158% -21.48% 9.449%
ROA
7.1% 0.395% -20.7% 0.465% -20.7% 0.465% -20.94% 0.369%
FCF to Net Income
-- 178.507% -- -- -- -- -- --
Normalised Return on Invested Capital
-110.33% -0.603% -76.83% 1.860% -76.83% 1.860% -38.35% 5.838%
Efficiency Ratios
CAPEX to Sales Ratio
-- -- -11.27% 0.327% -- -- -- --
ROE 5 Year Average
-- -- 13.24% 11.303% -- -- -- --
ROA 5 Year Average
-- -- 15.92% 0.460% -- -- -- --
Profitability Ratios TTM
Net Margin
-- -- -1.8% 5.906% -1.8% 5.906% -44.84% 3.270%
Normalized Income to Total Revenue
408.09% 11.904% -80.69% 0.827% -80.69% 0.827% -61.69% 2.343%
EBIT to Revenue
-22.82% 3.409% -54.75% 3.020% -54.75% 3.020% -52.43% 4.417%
Interest Coverage(T)
-107.03% -0.3308 -64% 2.2636 -64% 2.2636 -32.67% 4.7036
Expense Ratio
21.05% 16.126% 44.35% 30.688% 44.35% 30.688% 62.53% 13.322%
Financial Health Ratios
Long-Term Debt to Equity Ratio
16.55% 49.172% -21.75% 40.869% -21.75% 40.869% -21.56% 42.188%
Total Assets to Common Equity
-10.71% 2283.210% -23.91% 1886.507% -23.91% 1886.507% -0.39% 2557.016%
Debt to Asset Ratio
30.63% 2.170% 1.35% 2.350% 1.35% 2.350% -23.51% 1.661%
GrowthRatios
Growth Ratios
Revenue CAGR(3Y)
-- -- 964.71% 21.999% -- -- -- --
Revenue CAGR(5Y)
-- -- -166.6% -9.496% -- -- -- --
Net Income CAGR(3Y)
-- -- -66.22% 7.831% -- -- -- --
Net Income CAGR(5Y)
-- -- -8.54% 22.836% -- -- -- --
Dividend CAGR(3Y)
-- -- 58.82% -8.141% -- -- -- --
Dividend CAGR(5Y)
-- -- 102.27% 0.190% -- -- -- --
Currency Unit
GBPGBPGBPGBP

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
Aviva Plc is a holding company, which engages in the provision of long-term insurance and savings, general and health insurance, and fund management products and services. It operates through the following segments: United Kingdom and Ireland; Canada; France; Italy; Poland; and Other. The United Kingdom and Ireland segment offers risks associated with motor vehicles, property and liability, and medical expenses insurance cover to individuals and businesses. The Canada segment refers to the personal and commercial lines insurance products distributed through insurance brokers. The France segment consists of long-term and general insurance businesses. The Italy segment provides savings, investments, pension, and protection products to the life and non-domestic insurance markets. The Poland segment comprises of long-term business and general insurance business in Lithuania. The Other segment includes the long-term business operations in China, India, and Singapore; and life operations in Turkey. The company is headquartered in London, the United Kingdom.
CEO: Ms. Amanda Jayne Blanc
Market: Pink Market
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