← Russell 3000 cross-section

IVZ Invesco Ltd.

Trailing twelve months to 2026-06-30 · as filed 2026-08-04, not restated
Financials

Scale

Market cap
$14.7bn
Revenue TTM
$6.9bn
Net income TTM
$15m
Free cash flow
$1.9bn
Composite score
24.5
Sector rank
#542

Valuation

P / E
998.9
EV / EBITDA
EV / sales
2.2
FCF yield
13.08%
Earnings yield vs 10-yr
-4.63pp

Earnings yield vs 10-yr compares what the business earns per pound invested against the 4.73% a 10-year US Treasury note pays for no equity risk. Negative means you are paying up front for growth not yet delivered.

Quality and growth

Net margin
0.2%
EBITDA margin
-5.1%
ROE
0.1%
ROIC
-3.7%
Revenue growth
12.2%

Insider activity, last 90 days

Net open-market
$0.00m
Buyers
0
Sellers
0

Open-market purchases and sales only. Grants, option exercises, gifts and shares withheld for tax are excluded: they are how people are paid, not what they think.

What management said

This broad diversification helps to mitigate some of the impact of different market cycles on Invesco and enables the company to take advantage of growth opportunities in various markets and channels. The table below summarizes returns based on price appreciation/(depreciation) of several major market indices for the three and six months ended June 30, 2026 and 2025: Our diversified platform, global scale, and breadth of products were integral to record net long-term inflows of $45.1 billion for the quarter, primarily driven by ETFs and Index, QQQ, China JV, and Private Markets. …Invesco Ltd., 10-Q, period ended 2026-06-30, filed 2026-08-04

Read the full passage →