Aviva PLC
LSE:AV

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Aviva PLC
LSE:AV
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Price: 485.7 GBX 0.39% Market Closed
Market Cap: 12.9B GBX
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Net Margin
Aviva PLC

6.1%
Current
-4%
Average
7.6%
Industry

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
6.1%
=
Net Income
1.3B
/
Revenue
21.6B

Net Margin Across Competitors

Country UK
Market Cap 12.9B GBP
Net Margin
6%
Country DE
Market Cap 114.1B EUR
Net Margin
9%
Country CH
Market Cap 81.9B CHF
Net Margin
7%
Country FR
Market Cap 74.4B EUR
Net Margin
8%
Country US
Market Cap 47.9B USD
Net Margin
-8%
Country CN
Market Cap 325.6B CNY
Net Margin
14%
Country IT
Market Cap 41.7B EUR
Net Margin
6%
Country US
Market Cap 35.1B USD
Net Margin
12%
Country FI
Market Cap 21.6B USD
Net Margin
15%
Country DE
Market Cap 20.6B EUR
Net Margin
4%
Country FI
Market Cap 20B EUR
Net Margin
15%
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Aviva PLC
Glance View

Market Cap
12.9B GBX
Industry
Insurance

Aviva PLC, a prominent British multinational insurance firm, has been a cornerstone of the financial services industry since its founding in 1696. As one of the largest providers of life insurance, general insurance, and asset management in the UK and beyond, Aviva plays a pivotal role in safeguarding the financial futures of millions of customers. The company’s rich history is intertwined with a commitment to innovation and customer-centric solutions, making it a key player in helping individuals and businesses navigate their financial landscapes. With a robust market presence in Europe, Canada, and Asia, Aviva’s strategy focuses on sustainable growth and operational excellence, aiming to create long-term value for its shareholders. For investors, Aviva PLC represents a blend of stability and growth potential. The company has consistently delivered solid financial performance, characterized by a strong balance sheet and a growing dividend yield, which appeals to income-focused investors. Aviva is strategically pivoting towards digital transformation and enhancing its customer experience, reflecting a keen awareness of evolving market dynamics and consumer needs. As the company continues to optimize its portfolio through divestitures and strategic acquisitions, it is well-positioned to leverage its strengths in a rapidly changing insurance landscape. With a focus on sound risk management and operational efficiency, Aviva is not just a legacy brand; it is a dynamic entity with ambitions that resonate with today's investors seeking both reliability and growth.

AV Intrinsic Value
853.37 GBX
Undervaluation 43%
Intrinsic Value
Price

See Also

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What is Net Margin?

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
6.1%
=
Net Income
1.3B
/
Revenue
21.6B
What is the Net Margin of Aviva PLC?

Based on Aviva PLC's most recent financial statements, the company has Net Margin of 6.1%.