- ExchangeLondon Stock Exchange
- SectorLife Insurance
- CountryUnited Kingdom
Item 2: Remuneration report The 2019 total variable remuneration of 384% of base salary is above our limit of 300%. However, its targets are sufficiently challenging to accept our higher limit of 450% of salary. The positive features of the remuneration overwhelm our moderate concerns mentioned above. The remuneration is weighted more towards rewarding long-term performance, the payout is adequately aligned with performance, and the quantum is not excessive. Accordingly, we recommend to vote FOR. Item 3: Final dividend withdrawn On 8 April 2020, Aviva announced the withdrawal of it...
The independent financial analyst theScreener just lowered the general evaluation of AVIVA PLC. (GB), active in the Life Insurance industry. As regards its fundamental valuation, the title still shows 2 out of 4 possible stars. Its market behaviour, however, has slightly deteriorated and will be qualified as risky moving forward. theScreener considers that these new qualifications justify an overall rating downgrade to Slightly Negative. As of the analysis date April 17, 2020, the closing price was GBp 247.80 and its target price was estimated at GBp 235.41.
Summary The British United Provident Association Limited - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights The British United Provident Association Limited (Bupa) is a health and care services provider. The company funds for the healthcare of its customers through different funding models like insurance. It also provides primary care clinics, hospitals, dental cen...
Feasibility Study Results in December to be a Catalyst for this Junior
A director at Aviva bought 10,000 shares at 401p and the significance rating of the trade was 55/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly showing Close periods where trading activity is restricted under listing rules. The names of board members alo...
La tendance de fond est clairement orientée à la baisse. Le MACD est négatif, il confirme cette tendance. La reprise est une consolidation qui va buter sur 437,30 p prochainement. Le prochain objectif est à 395,17 p, puis 370,24 p. Le franchissement de 498,50 p remettrait en cause la suite de la baisse.
The background trend is clearly bearish. The negative MACD confirms the trend. The rise is a consolidation that will soon bump against the level at 437.30 p. The next target is at 395.17 p, then 370.24 p. Passing 498.50 p would question the continuation of the fall.
The background trend is clearly bearish. Prices are falling again, but the movement has become hesitant. The next support is at 395.17 p. The background trend would be questioned should prices rise above 498.50 p.
La tendance de fond est clairement orientée à la baisse. Les prix baissent à nouveau, mais le mouvement est devenu hésitant. Le prochain support est à 395,17 p. La tendance de fond serait remise en cause en cas de franchissement de 498,50 p.