Aviva is a multiline insurer listed on the London Stock Exchange... Show more
AIVAF saw its Momentum Indicator move above the 0 level on June 20, 2025. This is an indication that the stock could be shifting in to a new upward move. Traders may want to consider buying the stock or buying call options. Tickeron's A.I.dvisor looked at 68 similar instances where the indicator turned positive. In of the 68 cases, the stock moved higher in the following days. The odds of a move higher are at .
The 10-day RSI Indicator for AIVAF moved out of overbought territory on July 16, 2025. This could be a bearish sign for the stock. Traders may want to consider selling the stock or buying put options. Tickeron's A.I.dvisor looked at 39 similar instances where the indicator moved out of overbought territory. In of the 39 cases, the stock moved lower in the following days. This puts the odds of a move lower at .
The Stochastic Oscillator may be shifting from an upward trend to a downward trend. In of 58 cases where AIVAF's Stochastic Oscillator exited the overbought zone, the price fell further within the following month. The odds of a continued downward trend are .
The Aroon Indicator for AIVAF entered a downward trend on July 11, 2025. This could indicate a strong downward move is ahead for the stock. Traders may want to consider selling the stock or buying put options.
The Tickeron PE Growth Rating for this company is (best 1 - 100 worst), pointing to outstanding earnings growth. The PE Growth rating is based on a comparative analysis of stock PE ratio increase over the last 12 months compared against S&P 500 index constituents.
The Tickeron Profit vs. Risk Rating rating for this company is (best 1 - 100 worst), indicating low risk on high returns. The average Profit vs. Risk Rating rating for the industry is 40, placing this stock better than average.
The Tickeron Valuation Rating of (best 1 - 100 worst) indicates that the company is slightly undervalued in the industry. This rating compares market capitalization estimated by our proprietary formula with the current market capitalization. This rating is based on the following metrics, as compared to industry averages: P/B Ratio (0.788) is normal, around the industry mean (2.112). AIVAF has a moderately high P/E Ratio (53.476) as compared to the industry average of (16.199). Projected Growth (PEG Ratio) (0.000) is also within normal values, averaging (6.024). Dividend Yield (0.059) settles around the average of (0.054) among similar stocks. P/S Ratio (0.483) is also within normal values, averaging (1.360).
The Tickeron Price Growth Rating for this company is (best 1 - 100 worst), indicating steady price growth. AIVAF’s price grows at a higher rate over the last 12 months as compared to S&P 500 index constituents.
The Tickeron Seasonality Score of (best 1 - 100 worst) indicates that the company is fair valued in the industry. The Tickeron Seasonality score describes the variance of predictable price changes around the same period every calendar year. These changes can be tied to a specific month, quarter, holiday or vacation period, as well as a meteorological or growing season.
The Tickeron SMR rating for this company is (best 1 - 100 worst), indicating weak sales and an unprofitable business model. SMR (Sales, Margin, Return on Equity) rating is based on comparative analysis of weighted Sales, Income Margin and Return on Equity values compared against S&P 500 index constituents. The weighted SMR value is a proprietary formula developed by Tickeron and represents an overall profitability measure for a stock.
Industry MultiLineInsurance
A.I.dvisor tells us that AIVAF and DIISF have been poorly correlated (+20% of the time) for the last year. This A.I.-generated data suggests there is low statistical probability that AIVAF and DIISF's prices will move in lockstep.
Ticker / NAME | Correlation To AIVAF | 1D Price Change % | ||
---|---|---|---|---|
AIVAF | 100% | N/A | ||
DIISF - AIVAF | 20% Poorly correlated | N/A | ||
AEGOF - AIVAF | 18% Poorly correlated | N/A | ||
ALIZY - AIVAF | 17% Poorly correlated | -0.35% | ||
AGESY - AIVAF | 13% Poorly correlated | +1.20% | ||
ARZGY - AIVAF | 10% Poorly correlated | +1.04% | ||
More |