IVZ · Invesco
S&P 500 #450 · NYSE
Risiko 6/10 · Asset Manager Cyclical · $29.43 ▼ 2.26%
Kennzahlen
- Price $29.43
- Market cap $13.0B
- P/E (ttm) n/a
- Div yield 2.86%
- 52-wk range $20.08 – $31.02
- Index rank #450 / —
Wichtigste Risiken
- Net outflows from active funds to passive/ETF (AUM growth) — HIGH
- Market downturn reducing fee revenue (Revenue) — HIGH
- Negative trailing earnings (PE not meaningful) (Profitability) — MED
- Competitive pressure from Vanguard/BlackRock (Market share) — MED
Fazit
Global asset manager with $1.8T AUM; navigating outflow pressures with strength in factor ETFs and multi-asset solutions.
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