Aviva EBITDA 2012-2025 | AVVIY

Aviva annual and quarterly EBITDA history from 2012 to 2025. EBITDA can be defined as earnings before interest, taxes, depreciation and amortization.
  • Aviva EBITDA for the quarter ending December 31, 2025 was $0M, a 0% increase year-over-year.
  • Aviva EBITDA for the twelve months ending December 31, 2025 was $0M, a 0% increase year-over-year.
  • Aviva 2025 annual EBITDA was $14.427B, a 183.79% increase from 2024.
  • Aviva 2024 annual EBITDA was $5.083B, a 57.99% decline from 2023.
  • Aviva 2023 annual EBITDA was $12.099B, a 155.9% decline from 2022.
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Aviva Annual EBITDA
(Millions of US $)
2025 $14,427
2024 $5,083
2023 $12,099
2022 $-21,646
2021 $23,613
2020 $15,502
2019 $42,158
2018 $-8,162
2017 $21,718
2016 $23,188
2015 $3,861
2014 $21,246
2013 $13,704
2012 $17,086
2011 $-2,509
Aviva Quarterly EBITDA
(Millions of US $)
2025-12-31
2024-12-31
2024-06-30
2023-12-31
2023-06-30
2022-12-31
2022-06-30
2021-12-31
2020-12-31
2020-06-30
2019-12-31
2018-12-31
2018-06-30
2017-12-31
2017-06-30
2016-12-31
2015-12-31
2015-06-30
2014-12-31
2014-06-30
2013-12-31
2013-06-30
2012-12-31
2012-06-30
2011-12-31
2011-06-30
Sector Industry Market Cap Revenue
Finance Life Insurance Providers $25.698B $33.539B
Aviva has established a competitive position in North America. In the US, the world's largest savings market, Aviva is the leading provider of indexed annuity and indexed life insurance products. Its principal activity is the provision of financial products and services, focused on the following lines of business: long-term insurance and savings business, fund management and general insurance and health. The company's business is managed on a geographic basis through a regional management structure based on four regions, U.K., Europe, North America and Asia Pacific. The four regions function as five operating segments as, due to the size of the U.K. region, it is split into two operating segments, U.K. Life and U.K. General Insurance, which undertake long term insurance and savings business and general insurance respectively.
Stock Name Country Market Cap PE Ratio
AIA (AAGIY) Hong Kong, SAR China $119.768B 0.00
Manulife Financial Corp (MFC) Canada $61.070B 12.09
Sun Life Financial (SLF) Canada $36.153B 12.27
NN Group (NNGRY) Netherlands $21.903B 0.00
Reinsurance Group Of America (RGA) United States $13.433B 8.37
Primerica (PRI) United States $8.270B 11.39
Jackson Financial (JXN) United States $7.183B 4.47
Lincoln National (LNC) United States $6.501B 4.17
Voya Financial (VOYA) United States $6.488B 7.82
Brighthouse Financial (BHF) United States $3.473B 3.78
Genworth Financial (GNW) United States $3.389B 25.74
F&G Annuities & Life (FG) United States $3.259B 6.64
Baldwin Insurance (BWIN) United States $3.056B 20.18
Abacus Life (ABL) United States $0.828B 11.15
Kansas City Life Insurance (KCLI) United States $0.306B 22.70
Citizens (CIA) United States $0.270B 16.24
Security National Financial (SNFCA) United States $0.248B 7.57
UTG (UTGN) United States $0.195B 11.44
GoHealth (GOCO) United States $0.030B 0.00