IVZ Factor Report

Data as of market close on: 4/2/2025.

Fundamental analysis of IVZ using the major investing factors, including value, quality, momentum, and low volatility.
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INVESCO LTD (IVZ) Fundamentals

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Latest Close: $15.69 Market Cap ($ mil): $7,027 Sector: Financial Industry: Investment Services 52 Week High: $19.55 52 Week Low: $14.16 Relative Strength: 54 Twelve Minus One Return: 1.8% Standard Deviation: 35.5% Insider Ownership: 1.68%
PE Ratio: 13.3 Price/Sales: 1.2 Price/Book: 0.7 Price/Cash Flow: 10.1 EV/EBITDA: 11.33 Dividend Yield: 5.19% Shareholder Yield: 20.80% Piotroski F Score: 7 Mohanram G Score: 3 Institutional Ownership: 93.42%
Return on Equity: 5.1% Return on Assets: 2.7% Return on Tangible Capital: 9.5% Return on Invested Capital: 2.8% WACC: 4.8% Debt/Equity: 0.49 LT EPS Growth: -3.3% LT Sales Growth: -1.4% Beta: 1.42 Profit Margin: 12.40%
Invesco Ltd. is an independent investment management firm. It serves the retail and institutional markets within the investment management industry in the Americas, Europe, Middle East, and Africa and Asia-Pacific in 120 countries. It offers a range of investment strategies across asset classes, investment styles, and geographies. Its asset classes include equity, fixed income, balanced, alternatives and money market. Its retail assets under management include mutual funds, exchange-traded funds, separately managed accounts, individual savings accounts, investment companies with variable capital, investment trusts, open-end mutual funds, unit investment trusts, and variable insurance funds. Its institutional assets include institutional separate accounts, private funds, open-end mutual funds, and collective trust funds. Its client base includes public and private entities, unions, non-profit organizations, endowments, foundations, financial institutions, and sovereign wealth funds.

Factor Profile

IVZ's exposure to the major factors (100 is highest).

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