Shares in Aviva plc show a positive technical chart pattern over the medium term. The timing to jump back on the rising trend seems good.
Summary
● The company has a good ESG score relative to its sector, according to MSCI.
Strengths
● The earnings growth currently anticipated by analysts for the coming years is particularly strong.
● The company is one of the best yield companies with high dividend expectations.
Weaknesses
● According to Standard & Poor's' forecast, revenue growth prospects are expected to be very low for the next fiscal years.
● The company does not generate enough profits, which is an alarming weak point.
● For the last twelve months, sales expectations have been significantly downgraded, which means that less important sales volumes are expected for the current fiscal year over the previous period.
● The company's sales previsions for the coming years have been revised downwards, which foreshadows another slowdown in business.
● The overall consensus opinion of analysts has deteriorated sharply over the past four months.
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Aviva plc is a diversified insurer, with businesses spanning insurance, wealth, and retirement. The Company's segments include Insurance, Wealth & Retirement (IWR), General Insurance, Aviva Investors, International investments, and Other Group activities. The principal activities of its IWR operations are the provision of a range of products to individuals and businesses across insurance, wealth, and retirement. The principal activities of its UK & Ireland General Insurance operations are the provision of insurance cover to individuals and businesses, for risks associated mainly with motor vehicles, property and liability. The principal activity of its Canada General Insurance operation is the provision of personal and commercial lines insurance products, for risks associated mainly with motor, property and liability principally distributed through insurance brokers. Aviva Investors manages policyholders and shareholders invested in funds and provides investment management services.
This super rating is the result of a weighted average of the rankings based on the following ratings: Valuation (Composite), EPS Revisions (4 months), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
Investor
Investor
This super composite rating is the result of a weighted average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), EPS Revisions (1 year), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
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Global
Global
This composite rating is the result of an average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), Financial Estimates Revisions (Composite), Consensus (Composite) and Visibility (Composite). The company must be covered by at least 4 of these 5 ratings for the calculation to be carried out. We recommend that you carefully review the associated descriptions.
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Quality
Quality
This composite rating is the result of an average of rankings based on the following ratings: Returns (Composite), Profitability (Composite) and Quality of Financial Reporting (Composite), and Financial Health (Composite). The company must be covered by at least 2 of these 3 ratings for the calculation to be performed. We recommend that you carefully read the associated descriptions.
ESG MSCI
ESG MSCI
The MSCI ESG score assesses a company’s environmental, social, and governance practices relative to its industry peers. Companies are rated from CCC (laggard) to AAA (leader). This rating helps investors incorporate sustainability risks and opportunities into their investment decisions.