Technical Analysis for AV - Aviva

Grade Last Price % Change Price Change
B 452.60 0.09% 0.40
AV closed up 0.47 percent on Friday, February 23, 2024, on 1.32 times normal volume. The stock exhibited some range contraction during this trading session as price made an NR7 -- narrowest range of the last seven sessions. Note that the stock is in overbought territory based on its Slow Stochastic indicator (14, 3, 3) -- so don't be surprised if it goes sideways or a pulls back.
Earnings due: Mar 7
*** please verify all earnings dates ***
6 Watchers
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Trend Table & Recent EOD Trading Signals

ADX Long Term Intermediate Term Short Term
Weak or Absent Up Up Up

Date Alert Name Type % Chg
NR7 Range Contraction 0.09%
Upper Bollinger Band Walk Strength 0.09%
Inside Day Range Contraction 0.09%
Above Upper BB Strength 0.09%
Overbought Stochastic Strength 0.09%
Up 3 Days in a Row Strength 0.09%
Up 4 Days in a Row Strength 0.09%
Upper Bollinger Band Touch Strength 0.09%
Upper Bollinger Band Walk Strength 0.56%
Above Upper BB Strength 0.56%

   Recent Intraday Alerts

Alert Time
Gap Down Closed about 5 hours ago
Reversed from Down about 5 hours ago
Gap Down Partially Closed about 5 hours ago
Fell Below Upper Bollinger Band about 5 hours ago
Gapped Down (Partial) about 5 hours ago

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Aviva Description

Aviva plc is a holding company. The Company provides customers with long-term insurance and savings, general and health insurance, and fund management products and services. Its segments include United Kingdom & Ireland; France; Poland; Italy, Spain and Other; Canada; Asia; Aviva Investors, and Other Group activities. The United Kingdom and Ireland segment consists of two operating segments: Life and General Insurance. The principal activities of its French operations are long-term business and general insurance. Its Poland Activities in Poland consist of long-term business and general insurance operations. Its Italian operations are long-term business and general insurance. The principal activity of the Canadian operation is general insurance. Its activities in Asia consist of its long-term business operations in China, India, Singapore, Hong Kong, Vietnam, Indonesia, Taiwan and international operations. The Aviva Investors segment offers a range of asset management services.


Sector: Financial Services
Industry: Insurance - Diversified
Keywords: Health Asset Management Insurance Pain Fund Management Asset Management Services Health Insurance Insurance Companies Insurance Operations Aviva Reliance Capital Aviva India Fund Management Products Long Term Insurance

Is AV a Buy, Sell or Hold?

Indicator Bull Case Neutral / Hold Bear Case
50 DMA
200 DMA
ADX Trend
Oversold / Overbought
Relative Strength


Indicator Value
52 Week High 466.9335
52 Week Low 366.0
Average Volume 5,319,099
200-Day Moving Average 406.21
50-Day Moving Average 431.22
20-Day Moving Average 430.87
10-Day Moving Average 434.97
Average True Range 6.59
RSI (14) 68.35
ADX 20.61
+DI 35.02
-DI 15.07
Chandelier Exit (Long, 3 ATRs) 433.44
Chandelier Exit (Short, 3 ATRs) 433.96
Upper Bollinger Bands 450.59
Lower Bollinger Band 411.14
Percent B (%b) 1.04
BandWidth 9.16
MACD Line 4.41
MACD Signal Line 1.27
MACD Histogram 3.1396
Fundamentals Value
Market Cap 12.39 Billion
Num Shares 2.74 Billion
EPS -0.20
Price-to-Earnings (P/E) Ratio -2261.00
Price-to-Sales 2.86
Price-to-Book 1.24
PEG Ratio 8.09
Dividend 0.32
Dividend Yield 0.07%
Pivot Point Level Traditional / Classic Fibonacci Demark Woodie Camarilla
Resistance 4 (R4) 457.15
Resistance 3 (R3) 456.60 454.40 456.33
Resistance 2 (R2) 454.40 453.14 454.68 456.05
Resistance 1 (R1) 453.30 452.36 453.85 453.85 455.77
Pivot Point 451.10 451.10 451.38 451.38 451.10
Support 1 (S1) 450.00 449.84 450.55 450.55 448.63
Support 2 (S2) 447.80 449.06 448.08 448.35
Support 3 (S3) 446.70 447.80 448.08
Support 4 (S4) 447.25