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Clear AllQuality Score
0/0
Growth Score
0/0
Valuation Score
0/0
Momentum Score
0/0
Today’s Range
52 Week Range
Liquidity
Market cap
$10,710 Mln
Revenue (TTM)
$6,377 Mln
Net Profit (TTM)
$-282 Mln
ROE
-0 %
ROCE
-1.3 %
P/E Ratio
--
P/B Ratio
1.1
Industry P/E
--
EV/EBITDA
13.7
Div. Yield
3.5 %
Debt to Equity
0.8
Book Value
$27
EPS
$-0.6
Face value
--
Shares outstanding
443,673,777
CFO
$10,004.70 Mln
EBITDA
$14,576.90 Mln
Net Profit
$8,487.20 Mln
|
Company
|
YTD
|
1 Month
|
3 Months
|
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|---|---|---|---|---|---|---|---|
|
Invesco Plc (IVZ)
| -8.1 | -8.1 | -8.1 | 58.9 | 13.8 | -1.3 | -2.6 |
|
BSE Sensex
| -13.4 | -9.8 | -13.9 | -3.6 | 7.5 | 7.9 | 11.2 |
|
S&P Small-Cap 600#
| -5.8 | -5.3 | -13.7 | -6.3 | 5.3 | 3.0 | 5.5 |
|
Company
|
2025
|
2023
|
2022
|
2021
|
2020
|
2019
|
|---|---|---|---|---|---|---|
|
Invesco Plc (IVZ)
| 50.3 | -0.8 | -21.9 | 32.1 | -3.1 | 7.4 |
|
S&P Small-Cap 600
| 4.0 | 13.9 | -17.4 | 25.3 | 9.6 | 20.9 |
|
BSE Sensex
| 9.1 | 18.7 | 4.4 | 22.0 | 15.8 | 14.4 |
Is there a threat to the company's solvency?
Can creative accounting be detected through the financial numbers?
How did the company perform in the last one year?
5Y Avg -- 3Y Avg -- TTM --
P/E Ratio
--
--Min --Median --Max
P/B Ratio
--
--Min --Median --Max
Earnings Yield (%)
--
Earnings Yield (%) = EBIT / Enterprise value
PEG Ratio
--
Price = Price / Earnings to growth ratio
Invesco Ltd. is a publicly owned investment manager. The firm provides its services to retail clients, institutional clients, high-net worth clients, public entities, corporations, unions, non-profit organizations, endowments, foundations, pension... funds, financial institutions, and sovereign wealth funds. It manages separate client-focused equity and fixed income portfolios. The firm also launches equity, commodity, fixed income, multi-asset, and balanced mutual funds for its clients. It launches equity, fixed income, multi-asset, and balanced exchange-traded funds. The firm also launches and manages private funds. It invests in the public equity and fixed income markets across the globe. The firm prefers to invest between $5 million and $15 million in companies. The firm also invests in alternative markets, such as commodities and currencies. For the equity portion of its portfolio, it invests in growth and value stocks of large-cap, mid-cap, and small-cap companies. For the fixed income portion of its portfolio, the firm invests in convertibles, government bonds, municipal bonds, treasury securities, and cash. It also invests in short term and intermediate term bonds, investment grade and high yield bonds, taxable and tax-free bonds, senior secured loans, and structured securities such as asset-backed securities, mortgage-backed securities, and commercial mortgage-backed securities. The firm employs absolute return, global macro, and long/short strategies. It employs quantitative analysis to make its investments. The firm was formerly known as Invesco Plc, AMVESCAP plc, Amvesco plc, Invesco PLC, Invesco MIM, and H. Lotery & Co. Ltd. Invesco Ltd. was founded in 1935 and is based in Atlanta, Georgia with an additional office in Hamilton, Bermuda. Read more
President, CEO & Director
Mr. Andrew Ryan Schlossberg
President, CEO & Director
Mr. Andrew Ryan Schlossberg
Headquarters
Atlanta, GA
Website
The share price of Invesco Plc (IVZ) is $24.14 (NYSE) as of 02-Apr-2026 19:00 EDT. Invesco Plc (IVZ) has given a return of 13.75% in the last 3 years.
Since, TTM earnings of Invesco Plc (IVZ) is negative, P/E ratio is not available.
PE & PB ratio at the end of financial year.
| Year | P/E Ratio | P/B Ratio |
|---|---|---|
|
2025
|
-42.32
|
0.97
|
|
2024
|
10.24
|
0.55
|
|
2023
|
-24.22
|
0.55
|
|
2022
|
8.97
|
0.49
|
|
2021
|
6.58
|
0.64
|
The 52-week high and low of Invesco Plc (IVZ) are Rs 29.61 and Rs 11.60 as of 05-Apr-2026.
Invesco Plc (IVZ) has a market capitalisation of $ 10,710 Mln as on 02-Apr-2026. As per SEBI classification, it is a Small Cap company.
Before investing in Invesco Plc (IVZ), assess your goals, risk tolerance, and if the company aligns with your long-term plan. Carefully review its business model, financials, and valuation. Avoid making decisions based on tips or short-term trends.