AVIVA PLC SPONS.ADR/2 - Asset Resilience Ratio

Latest as of December 2025: 0.07%

AVIVA PLC SPONS.ADR/2 (GU80) has an Asset Resilience Ratio of 0.07% as of December 2025. The Asset Resilience Ratio measures the percentage of a company's total assets that are held in liquid form (cash and short-term investments). This metric indicates how well-positioned the company is to handle unexpected financial challenges, economic downturns, or strategic opportunities without requiring external financing. Also explore AVIVA PLC SPONS.ADR/2 balance sheet assets for the complete picture of this company's asset base.

Liquid Assets

€258.00 Million
≈ $301.63 Million USD Cash + Short-term Investments

Total Assets

€395.30 Billion
≈ $462.15 Billion USD All company assets

Resilience Assessment

Low
Financial Resilience Level

Asset Resilience Ratio Trend (2021–2025)

This chart shows how AVIVA PLC SPONS.ADR/2's Asset Resilience Ratio has changed over time. See AVIVA PLC SPONS.ADR/2 balance sheet quality to measure how much of total assets are equity-financed.

Liquid Assets Composition Over Time

This chart breaks down AVIVA PLC SPONS.ADR/2's liquid assets into cash & equivalents and short-term investments, showing how the composition has evolved over time. For market capitalisation and broader financial context, see AVIVA PLC SPONS.ADR/2 market capitalisation.

Current Liquid Assets Breakdown

Component Amount % of Total Assets
Cash & Equivalents €0.00 0%
Short-term Investments €258.00 Million 0.07%
Total Liquid Assets €258.00 Million 0.07%

Asset Resilience Insights

  • Limited Liquidity: AVIVA PLC SPONS.ADR/2 maintains only 0.07% of assets in liquid form.
  • This low level may indicate efficient asset utilization but could pose risks during economic downturns.
  • The company has significant short-term investments, indicating active treasury management.

AVIVA PLC SPONS.ADR/2 Industry Peers by Asset Resilience Ratio

Compare AVIVA PLC SPONS.ADR/2's asset resilience ratio with other companies in the same industry.

Company Industry Asset Resilience Ratio
Helvetia Holding AG
SW:HELN
Insurance - Diversified 48.45%
ageas SA/NV
BR:AGS
Insurance - Diversified 57.24%
UNIQA Insurance Group AG
VI:UQA
Insurance - Diversified 45.14%
Exzeo Group, Inc.
NYSE:XZO
Insurance - Diversified 77.32%
Vienna Insurance Group AG
VI:VIG
Insurance - Diversified 48.85%
BB Seguridade Participacoes SA
SA:BBSE3
Insurance - Diversified 43.47%
Porto Seguro S.A
SA:PSSA3
Insurance - Diversified 2.90%
Sun Life Financial Inc.
TO:SLF
Insurance - Diversified 6.77%

Annual Asset Resilience Ratio for AVIVA PLC SPONS.ADR/2 (2021–2025)

The table below shows the annual Asset Resilience Ratio data for AVIVA PLC SPONS.ADR/2.

Year Asset Resilience Ratio (%) Liquid Assets Total Assets Change
2025-12-31 0.07% €258.00 Million
≈ $301.63 Million
€395.30 Billion
≈ $462.15 Billion
-0.03pp
2024-12-31 0.09% €330.00 Million
≈ $385.80 Million
€353.88 Billion
≈ $413.73 Billion
+0.02pp
2023-12-31 0.08% €256.00 Million
≈ $299.29 Million
€328.84 Billion
≈ $384.45 Billion
+0.08pp
2022-12-31 0.00% €1.00 Million
≈ $1.17 Million
€309.58 Billion
≈ $361.94 Billion
+0.00pp
2021-12-31 0.00% €1.00 Million
≈ $1.17 Million
€351.92 Billion
≈ $411.44 Billion
--
pp = percentage points

About AVIVA PLC SPONS.ADR/2

F:GU80 Germany Insurance - Diversified
Market Cap
$25.23 Billion
€21.58 Billion EUR
Market Cap Rank
#1167 Global
#265 in Germany
Share Price
€14.20
Change (1 day)
+0.00%
52-Week Range
€12.40 - €16.70
All Time High
€16.70
About

Aviva plc provides various insurance, retirement, and wealth products in the United Kingdom, Ireland, Canada, and internationally. The company offers life insurance, long-term health and accident insurance, savings, pension, and annuity products, as well as pension fund business and lifetime mortgage products. It also provides insurance cover to individuals, small and medium-sized businesses for … Read more