AVVIY
Price
$12.20
Change
+$0.01 (+0.08%)
Updated
Jan 17 closing price
Capitalization
15.11B
40 days until earnings call
SLF
Price
$58.91
Change
-$0.15 (-0.25%)
Updated
Jan 17 closing price
Capitalization
31.65B
25 days until earnings call
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AVVIY vs SLF

Header iconAVVIY vs SLF Comparison
Open Charts AVVIY vs SLFBanner chart's image
Aviva
Price$12.20
Change+$0.01 (+0.08%)
Volume$34K
Capitalization15.11B
Sun Life Financial
Price$58.91
Change-$0.15 (-0.25%)
Volume$359.35K
Capitalization31.65B
AVVIY vs SLF Comparison Chart
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AVVIY
Daily Signalchanged days ago
Gain/Loss if bought
Show more...
SLF
Daily Signalchanged days ago
Gain/Loss if bought
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AVVIY vs. SLF commentary
Jan 19, 2025

To compare these two companies we present long-term analysis, their fundamental ratings and make comparative short-term technical analysis which are presented below. The conclusion is AVVIY is a Hold and SLF is a Hold.

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COMPARISON
Comparison
Jan 19, 2025
Stock price -- (AVVIY: $12.20 vs. SLF: $58.91)
Brand notoriety: AVVIY and SLF are both not notable
Both companies represent the Multi-Line Insurance industry
Current volume relative to the 65-day Moving Average: AVVIY: 85% vs. SLF: 49%
Market capitalization -- AVVIY: $15.11B vs. SLF: $31.65B
AVVIY [@Multi-Line Insurance] is valued at $15.11B. SLF’s [@Multi-Line Insurance] market capitalization is $31.65B. The market cap for tickers in the [@Multi-Line Insurance] industry ranges from $634.15B to $0. The average market capitalization across the [@Multi-Line Insurance] industry is $21.39B.

Long-Term Analysis

It is best to consider a long-term outlook for a ticker by using Fundamental Analysis (FA) ratings. The rating of 1 to 100, where 1 is best and 100 is worst, is divided into thirds. The first third (a green rating of 1-33) indicates that the ticker is undervalued; the second third (a grey number between 34 and 66) means that the ticker is valued fairly; and the last third (red number of 67 to 100) reflects that the ticker is undervalued. We use an FA Score to show how many ratings show the ticker to be undervalued (green) or overvalued (red).

AVVIY’s FA Score shows that 2 FA rating(s) are green whileSLF’s FA Score has 1 green FA rating(s).

  • AVVIY’s FA Score: 2 green, 3 red.
  • SLF’s FA Score: 1 green, 4 red.
According to our system of comparison, SLF is a better buy in the long-term than AVVIY.

Short-Term Analysis

It is best to consider a short-term outlook for a ticker by using Technical Analysis (TA) indicators. We use Odds of Success as the percentage of outcomes which confirm successful trade signals in the past.

If the Odds of Success (the likelihood of the continuation of a trend) for each indicator are greater than 50%, then the generated signal is confirmed. A green percentage from 90% to 51% indicates that the ticker is in a bullish trend. A red percentage from 90% - 51% indicates that the ticker is in a bearish trend. All grey percentages are below 50% and are considered not to confirm the trend signal.

AVVIY’s TA Score shows that 4 TA indicator(s) are bullish while SLF’s TA Score has 3 bullish TA indicator(s).

  • AVVIY’s TA Score: 4 bullish, 5 bearish.
  • SLF’s TA Score: 3 bullish, 4 bearish.
According to our system of comparison, AVVIY is a better buy in the short-term than SLF.

Price Growth

AVVIY (@Multi-Line Insurance) experienced а +4.53% price change this week, while SLF (@Multi-Line Insurance) price change was +2.83% for the same time period.

The average weekly price growth across all stocks in the @Multi-Line Insurance industry was +3.20%. For the same industry, the average monthly price growth was +1.58%, and the average quarterly price growth was +13.96%.

Reported Earning Dates

AVVIY is expected to report earnings on Feb 27, 2025.

SLF is expected to report earnings on May 08, 2025.

Industries' Descriptions

@Multi-Line Insurance (+3.20% weekly)

A multi-line insurance contract bundles together exposures to risk and covers them under a single contract. For providers of such policies, the bundle is a potential risk diversification strategy since their exposure gets spread over several factors, which helps them mitigate a financial burden if a catastrophic event were to occur. Other potential benefits include getting more premiums from including more than one type of insurance in a bundle, and getting a competitive edge by procuring multiple insurance contracts with a customer. Examples of companies in this industry are Berkshire Hathaway (which owns several insurance companies), Chubb Limited, American International Group, Inc. and Sun Life Financial Inc.

SUMMARIES
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FUNDAMENTALS
Fundamentals
SLF($31.6B) has a higher market cap than AVVIY($15.1B). AVVIY has higher P/E ratio than SLF: AVVIY (55.56) vs SLF (13.86). AVVIY YTD gains are higher at: 3.032 vs. SLF (-0.725). SLF has more cash in the bank: 27.5B vs. AVVIY (10.7B). AVVIY has less debt than SLF: AVVIY (7.64B) vs SLF (13.3B). AVVIY has higher revenues than SLF: AVVIY (52.8B) vs SLF (32.7B).
AVVIYSLFAVVIY / SLF
Capitalization15.1B31.6B48%
EBITDAN/AN/A-
Gain YTD3.032-0.725-418%
P/E Ratio55.5613.86401%
Revenue52.8B32.7B161%
Total Cash10.7B27.5B39%
Total Debt7.64B13.3B57%
FUNDAMENTALS RATINGS
AVVIY vs SLF: Fundamental Ratings
AVVIY
SLF
OUTLOOK RATING
1..100
2061
VALUATION
overvalued / fair valued / undervalued
1..100
9
Undervalued
31
Undervalued
PROFIT vs RISK RATING
1..100
2653
SMR RATING
1..100
9898
PRICE GROWTH RATING
1..100
5146
P/E GROWTH RATING
1..100
7851
SEASONALITY SCORE
1..100
n/a50

Tickeron ratings are formulated such that a rating of 1 designates the most successful stocks in a given industry, while a rating of 100 points to the least successful stocks for that industry.

AVVIY's Valuation (9) in the null industry is in the same range as SLF (31) in the Financial Conglomerates industry. This means that AVVIY’s stock grew similarly to SLF’s over the last 12 months.

AVVIY's Profit vs Risk Rating (26) in the null industry is in the same range as SLF (53) in the Financial Conglomerates industry. This means that AVVIY’s stock grew similarly to SLF’s over the last 12 months.

AVVIY's SMR Rating (98) in the null industry is in the same range as SLF (98) in the Financial Conglomerates industry. This means that AVVIY’s stock grew similarly to SLF’s over the last 12 months.

SLF's Price Growth Rating (46) in the Financial Conglomerates industry is in the same range as AVVIY (51) in the null industry. This means that SLF’s stock grew similarly to AVVIY’s over the last 12 months.

SLF's P/E Growth Rating (51) in the Financial Conglomerates industry is in the same range as AVVIY (78) in the null industry. This means that SLF’s stock grew similarly to AVVIY’s over the last 12 months.

TECHNICAL ANALYSIS
Technical Analysis
AVVIYSLF
RSI
ODDS (%)
Bullish Trend 11 days ago
81%
Bullish Trend 11 days ago
72%
Stochastic
ODDS (%)
Bearish Trend 11 days ago
51%
Bullish Trend 11 days ago
56%
Momentum
ODDS (%)
Bullish Trend 11 days ago
51%
Bearish Trend 11 days ago
54%
MACD
ODDS (%)
Bullish Trend 11 days ago
52%
N/A
TrendWeek
ODDS (%)
Bearish Trend 11 days ago
58%
Bearish Trend 11 days ago
54%
TrendMonth
ODDS (%)
Bearish Trend 11 days ago
51%
Bearish Trend 11 days ago
54%
Advances
ODDS (%)
Bullish Trend 13 days ago
54%
Bullish Trend 24 days ago
50%
Declines
ODDS (%)
Bearish Trend 11 days ago
56%
Bearish Trend 11 days ago
52%
BollingerBands
ODDS (%)
Bearish Trend 11 days ago
53%
N/A
Aroon
ODDS (%)
N/A
N/A
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AVVIY
Daily Signalchanged days ago
Gain/Loss if bought
Show more...
SLF
Daily Signalchanged days ago
Gain/Loss if bought
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AVVIY and

Correlation & Price change

A.I.dvisor indicates that over the last year, AVVIY has been loosely correlated with ALIZY. These tickers have moved in lockstep 58% of the time. This A.I.-generated data suggests there is some statistical probability that if AVVIY jumps, then ALIZY could also see price increases.

1D
1W
1M
1Q
6M
1Y
5Y
Ticker /
NAME
Correlation
To AVVIY
1D Price
Change %
AVVIY100%
+0.07%
ALIZY - AVVIY
58%
Loosely correlated
+0.45%
AXAHY - AVVIY
58%
Loosely correlated
+0.47%
AGESY - AVVIY
54%
Loosely correlated
+1.25%
ARZGY - AVVIY
50%
Loosely correlated
+1.07%
AEG - AVVIY
49%
Loosely correlated
+0.95%
More

SLF and

Correlation & Price change

A.I.dvisor indicates that over the last year, SLF has been loosely correlated with HIG. These tickers have moved in lockstep 57% of the time. This A.I.-generated data suggests there is some statistical probability that if SLF jumps, then HIG could also see price increases.

1D
1W
1M
1Q
6M
1Y
5Y
Ticker /
NAME
Correlation
To SLF
1D Price
Change %
SLF100%
-0.25%
HIG - SLF
57%
Loosely correlated
-0.48%
AVVIY - SLF
44%
Loosely correlated
+0.07%
AXAHY - SLF
43%
Loosely correlated
+0.47%
ALIZY - SLF
41%
Loosely correlated
+0.45%
EQH - SLF
40%
Loosely correlated
+0.27%
More