(IVZ) - Overview

Exchange: NYSE • Country: United States • Currency: USD • Type: Common Stock • ISIN: BMG491BT1088

Stock: Mutual Funds, ETFs, Private Funds, Managed Portfolios

Total Rating 64
Risk 84
Buy Signal 0.06

EPS (Earnings per Share)

EPS (Earnings per Share) of IVZ over the last years for every Quarter: "2020-12": 0.72, "2021-03": 0.68, "2021-06": 0.78, "2021-09": 0.77, "2021-12": 0.86, "2022-03": 0.56, "2022-06": 0.39, "2022-09": 0.34, "2022-12": 0.39, "2023-03": 0.38, "2023-06": 0.31, "2023-09": 0.35, "2023-12": 0.47, "2024-03": 0.33, "2024-06": 0.43, "2024-09": 0.44, "2024-12": 0.52, "2025-03": 0.44, "2025-06": 0.36, "2025-09": 0.61, "2025-12": 0.62,

Revenue

Revenue of IVZ over the last years for every Quarter: 2020-12: 1630.1, 2021-03: 1659.7, 2021-06: 1721.4, 2021-09: 1750, 2021-12: 1763.4, 2022-03: 1629.4, 2022-06: 1530.4, 2022-09: 1445.7, 2022-12: 1443.4, 2023-03: 1418.2, 2023-06: 1442.8, 2023-09: 1442, 2023-12: 1413.4, 2024-03: 1475.3, 2024-06: 1483.3, 2024-09: 1515.4, 2024-12: 1593, 2025-03: 1529.2, 2025-06: 1515.5, 2025-09: 1640.4, 2025-12: 1692,

Dividends

Dividend Yield 4.34%
Yield on Cost 5y 5.78%
Yield CAGR 5y 5.86%
Payout Consistency 93.6%
Payout Ratio 32.9%
Risk 5d forecast
Volatility 37.9%
Relative Tail Risk -5.49%
Reward TTM
Sharpe Ratio 1.04
Alpha 27.97
Character TTM
Beta 1.513
Beta Downside 1.857
Drawdowns 3y
Max DD 36.52%
CAGR/Max DD 0.50

Description: IVZ January 06, 2026

Invesco Ltd. (NYSE:IVZ) is a global investment manager that serves a broad client base-including retail, institutional, high-net-worth, public entities, and sovereign wealth funds-through a suite of equity, fixed-income, multi-asset, and alternative strategies. The firm operates both mutual funds and ETFs, and it also manages private funds, deploying capital across public equities, bonds, commodities, and currencies, typically investing $5-$15 million per company.

As of the end of 2023, Invesco reported approximately $1.5 trillion in assets under management (AUM) and generated $6.4 billion in revenue, reflecting a 31 % operating margin. The asset-management sector is currently driven by fee compression from the shift toward low-cost passive products and heightened demand for ESG-aligned investments, which together influence net inflows and profit margins for firms like Invesco.

For a deeper quantitative assessment of Invesco’s valuation metrics, the ValueRay platform offers a concise dashboard you may find useful.

Piotroski VR‑10 (Strict, 0-10) 5.5

Net Income: -281.7m TTM > 0 and > 6% of Revenue
FCF/TA: 0.06 > 0.02 and ΔFCF/TA 1.41 > 1.0
NWC/Revenue: -7.19% < 20% (prev 29.32%; Δ -36.51% < -1%)
CFO/TA 0.06 > 3% & CFO 1.53b > Net Income -281.7m
Net Debt (-1.04b) to EBITDA (1.38b): -0.75 < 3
Current Ratio: 0.69 > 1.5 & < 3
Outstanding Shares: last quarter (453.8m) vs 12m ago -0.07% < -2%
Gross Margin: 43.18% > 18% (prev 0.33%; Δ 4284 % > 0.5%)
Asset Turnover: 23.57% > 50% (prev 22.46%; Δ 1.11% > 0%)
Interest Coverage Ratio: -6.63 > 6 (EBITDA TTM 1.38b / Interest Expense TTM 82.5m)

Altman Z'' 1.53

A: -0.02 (Total Current Assets 1.04b - Total Current Liabilities 1.50b) / Total Assets 27.09b
B: 0.26 (Retained Earnings 7.17b / Total Assets 27.09b)
C: -0.02 (EBIT TTM -546.7m / Avg Total Assets 27.05b)
D: 0.87 (Book Value of Equity 12.23b / Total Liabilities 14.09b)
Altman-Z'' Score: 1.53 = BB

What is the price of IVZ shares?

As of February 07, 2026, the stock is trading at USD 26.82 with a total of 5,091,247 shares traded.
Over the past week, the price has changed by -1.72%, over one month by -5.06%, over three months by +15.68% and over the past year by +46.10%.

Is IVZ a buy, sell or hold?

has received a consensus analysts rating of 3.07. Therefor, it is recommend to hold IVZ.
  • StrongBuy: 1
  • Buy: 1
  • Hold: 11
  • Sell: 0
  • StrongSell: 1

What are the forecasts/targets for the IVZ price?

Issuer Target Up/Down from current
Wallstreet Target Price 30.1 12.2%
Analysts Target Price 30.1 12.2%
ValueRay Target Price 29.8 11%

IVZ Fundamental Data Overview January 31, 2026

P/E Forward = 10.5374
P/S = 1.9466
P/B = 1.0063
P/EG = 0.4373
Revenue TTM = 6.38b USD
EBIT TTM = -546.7m USD
EBITDA TTM = 1.38b USD
Long Term Debt = 10.79b USD (from longTermDebt, last quarter)
Short Term Debt = unknown (none)
Debt = 1.62b USD (from shortLongTermDebtTotal, two quarters ago)
Net Debt = -1.04b USD (from netDebt column, last quarter)
Enterprise Value = 13.00b USD (12.41b + Debt 1.62b - CCE 1.04b)
Interest Coverage Ratio = -6.63 (Ebit TTM -546.7m / Interest Expense TTM 82.5m)
EV/FCF = 8.64x (Enterprise Value 13.00b / FCF TTM 1.51b)
FCF Yield = 11.58% (FCF TTM 1.51b / Enterprise Value 13.00b)
FCF Margin = 23.61% (FCF TTM 1.51b / Revenue TTM 6.38b)
Net Margin = -4.42% (Net Income TTM -281.7m / Revenue TTM 6.38b)
Gross Margin = 43.18% ((Revenue TTM 6.38b - Cost of Revenue TTM 3.62b) / Revenue TTM)
Gross Margin QoQ = 66.96% (prev 34.17%)
Tobins Q-Ratio = 0.48 (Enterprise Value 13.00b / Total Assets 27.09b)
Interest Expense / Debt = 1.42% (Interest Expense 23.0m / Debt 1.62b)
Taxrate = 21.0% (US default 21%)
NOPAT = -431.9m (EBIT -546.7m * (1 - 21.00%)) [loss with tax shield]
Current Ratio = 0.69 (Total Current Assets 1.04b / Total Current Liabilities 1.50b)
Debt / Equity = 0.13 (Debt 1.62b / totalStockholderEquity, last quarter 12.23b)
Debt / EBITDA = -0.75 (Net Debt -1.04b / EBITDA 1.38b)
Debt / FCF = -0.69 (Net Debt -1.04b / FCF TTM 1.51b)
Total Stockholder Equity = 13.70b (last 4 quarters mean from totalStockholderEquity)
RoA = -1.04% (Net Income -281.7m / Total Assets 27.09b)
RoE = -2.06% (Net Income TTM -281.7m / Total Stockholder Equity 13.70b)
RoCE = -2.23% (EBIT -546.7m / Capital Employed (Equity 13.70b + L.T.Debt 10.79b))
RoIC = -3.50% (negative operating profit) (NOPAT -431.9m / Invested Capital 12.34b)
WACC = 10.29% (E(12.41b)/V(14.04b) * Re(11.49%) + D(1.62b)/V(14.04b) * Rd(1.42%) * (1-Tc(0.21)))
Discount Rate = 11.49% (= CAPM, Blume Beta Adj.)
Shares Correlation 3-Years: 33.33 | Cagr: 0.08%
[DCF Debug] Terminal Value 74.19% ; FCFF base≈1.35b ; Y1≈1.67b ; Y5≈2.84b
Fair Price DCF = 75.90 (EV 32.66b - Net Debt -1.04b = Equity 33.70b / Shares 444.0m; r=10.29% [WACC]; 5y FCF grow 25.0% → 2.90% )
EPS Correlation: 42.74 | EPS CAGR: 2.75% | SUE: 0.73 | # QB: 0
Revenue Correlation: 46.64 | Revenue CAGR: 1.01% | SUE: 3.37 | # QB: 2
EPS next Quarter (2026-03-31): EPS=0.59 | Chg30d=+0.031 | Revisions Net=+6 | Analysts=9
EPS current Year (2026-12-31): EPS=2.68 | Chg30d=+0.171 | Revisions Net=+7 | Growth EPS=+32.2% | Growth Revenue=+13.2%
EPS next Year (2027-12-31): EPS=3.04 | Chg30d=+0.162 | Revisions Net=+5 | Growth EPS=+13.1% | Growth Revenue=+5.7%

Additional Sources for IVZ Stock

News: Wall Street Journal | Benzinga | Yahoo Finance
Fund Manager Positions: Dataroma | Stockcircle