$14.34
+ $0.19 (1.32%)
End-of-day quote: 05/01/2024
NYSE:IVZ

Invesco Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$5.72B $6.05B $6.89B $6.15B $6.12B $5.31B $5.16B $4.73B $5.12B $5.15B $4.64B $4.05B $3.98B $3.49B $2.63B $3.31B $3.88B $3.25B $2.87B $2.76B
GM % Gross Margin %
25.53% 31.37% 33.47% 30.60% 33.12% 33.97% 35.03% 34.95% 36.87% 37.16% 34.73% 32.50% 34.45% 32.71% 35.76% 41.61% 43.57% 41.56% 39.06% 35.84%
OM Operating Margin
14.62% 22.13% 24.98% 21.42% 24.30% 25.33% 26.72% 26.31% 26.68% 25.60% 24.55% 21.01% 23.50% 21.11% 18.84% 22.61% 25.89% 23.05% 16.96% 18.15%
EPS Earnings Per Share
$0.00 $1.51 $1.68 $3.09 $1.93 $2.55 $2.43 $2.70 $2.23 $2.44 $2.51 $2.13 $1.71 $1.60 $1.30 $0.76 $1.28 $1.68 $1.20 $0.68 $0.82
Div. Dividends
$0.80 $0.75 $0.68 $0.78 $1.24 $1.19 $1.15 $1.12 $1.08 $1.00 $0.90 $0.69 $0.48 $0.43 $0.41 $0.40 $0.37 $0.36 $0.33 $0.28
PR % Payout Ratio %
52.98% 44.64% 22.01% 40.41% 48.63% 48.97% 42.59% 50.22% 44.26% 39.84% 42.25% 40.35% 30.00% 33.08% 53.95% 31.25% 22.02% 30.00% 48.53% 34.15%
Sha. Shares
449.5m 454.8m 461.2m 459.1m 453.3m 397.1m 407.1m 403.8m 417.5m 429.9m 433.1m 441.4m 446m 460.1m 431.4m 375.9m 379.7m 392.85m 395.55m 396.66m
OCF Operating Cash Flow
$1.30B $703.20M $1.08B $1.23B $1.12B $828.80M $1.16B $654.00M $1.13B $1.20B $780.20M $819.30M $964.80M $379.20M $362.70M $525.50M $915.50M $455.90M $306.90M $205.40M
FCF Free Cash Flow
$383.65M $503.30M $969.30M $1.12B $992.30M $726.30M $1.26B $-18.40M $45.00M $1.07B $692.00M $772.80M $857.80M $289.60M $323.20M $441.40M $878.80M $418.00M $268.10M $153.80M
FCFS Free Cash Flow Per Share
$1.98 $0.60 $1.58 $1.91 $1.98 $1.76 $2.56 $1.22 $2.34 $2.45 $1.60 $1.63 $1.85 $0.63 $0.77 $1.14 $2.20 $1.06 $0.68 $0.38