IVZ
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+ FollowUndervalued by 136.7% based on the discounted cash flow analysis.
| Market cap | $12.63 Billion |
|---|---|
| Enterprise Value | $22.36 Billion |
| Dividend Yield | $0.84 (2.97%) |
| Earnings per Share | $-1.61 |
| Beta | 1.57 |
| Outstanding Shares | 451,100,000 |
| P/E Ratio | -52.78 |
|---|---|
| PEG | -317.39 |
| Price to Sales | 1.59 |
| Price to Book Ratio | 0.93 |
| Enterprise Value to Revenue | 2.82 |
| Enterprise Value to EBIT | -28.76 |
| Enterprise Value to Net Income | -77 |
| Total Debt to Enterprise | 0.47 |
| Debt to Equity | 0.86 |
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Market sentiment based on institutional option activity.
| Put/Call Ratio | 0.0501▼ 1.47% |
|---|---|
| Total Calls | 7,008,087▼ 43.68% |
| Total Puts | 350,812▼ 56.43% |
Holdings and activity of institutional investors.
| Ownership % | 92.81%▲ 1.61% |
|---|---|
| Total Invested | $10.18B▼ 5.91% |
| Investors Holding | 649▼ 9.00% |
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As a key body for tax legislation and revenue estimates, its work directly influences corporate tax structures, investment incentives, and the overall tax burden on financial markets, which is critical for Invesco's strategies and client outcomes.
This powerful committee controls taxation and trade policy, directly impacting corporate valuations, investor returns, and the overall economic framework crucial for an asset manager like Invesco.
Oversight of the CFTC and the regulation of derivatives/futures markets, including the evolving classification of cryptocurrencies as commodities, directly impacts the 'Securities and Commodity Exchanges' industry where Invesco operates.
This is the primary regulatory committee for the financial system, including the SEC (which oversees asset managers), bank capital requirements, and emerging cryptocurrency regulation, all directly impacting Invesco's business.
As a global asset manager, Invesco is directly impacted by U.S. foreign policy, sanctions, and treaties which influence global markets, sovereign credit risk, and international banking access, directly affecting portfolio valuations.