Aviva (AVVIY) to Post Quarterly Earnings on Friday

Aviva (OTCMKTS:AVVIYGet Free Report) is projected to announce its resultson Friday, August 14th. Analysts expect Aviva to post earnings of $0.8320 per share and revenue of $38.5157 billion for the quarter.

Aviva Stock Down 1.5%

Shares of AVVIY opened at $18.87 on Wednesday. Aviva has a twelve month low of $15.62 and a twelve month high of $19.40. The company has a 50 day moving average of $17.71 and a 200-day moving average of $17.34. The company has a quick ratio of 1.50, a current ratio of 1.50 and a debt-to-equity ratio of 0.50.

Analysts Set New Price Targets

A number of research firms recently weighed in on AVVIY. Jefferies Financial Group downgraded shares of Aviva from a “strong-buy” rating to a “hold” rating in a research report on Monday, May 4th. Berenberg Bank raised shares of Aviva to a “strong-buy” rating in a research report on Thursday, May 28th. One investment analyst has rated the stock with a Strong Buy rating, one has assigned a Buy rating and two have issued a Hold rating to the company. According to data from MarketBeat.com, the company currently has a consensus rating of “Moderate Buy”.

Check Out Our Latest Report on AVVIY

Aviva Company Profile

(Get Free Report)

Aviva plc (OTCMKTS:AVVIY) is a UK-based multinational insurance company headquartered in London that provides a broad range of life and general insurance products, retirement solutions and investment management services. The company operates a diversified insurance business that includes individual and group life protection, health and income protection, home and motor insurance, workplace benefits, pensions and savings products. Aviva also offers asset management services through its investment arm, which manages assets on behalf of its insurance businesses and third-party clients.

Aviva traces its identity to a series of mergers and the consolidation of longstanding insurers, and it uses the Aviva brand across its operating markets.

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