Invesco Ltd.

NYSE:IVZ

14.83 (USD) • At close May 9, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 752.4-96.9925.51,969.4807.5737.8883.11,161868.3968.11,001.1982.8587.3622636.8209.3481.7673.6490.1212.24-36.2137.188238.924472.326480.209292.512223.9193.2
Afschrijvingen & Amortisatie 179.6182.8195.3205.3203.5177.6142.1116.8101.293.689.488.495117.496.777.647.664.1216.194.5122.5356.567337.846299.317164.508166.90478.730.1
Uitgestelde Inkomstenbelasting 000000000000049.2-219087.500000000000
Aandelen Gebaseerde Vergoedingen 104.6114.6106.2140.1188.5207.5172.4175.3159.7150.3138133.1136.4115.1117.890.897.700000000000
Verandering in Werkkapitaal 146.2-173-371.5-294.3-68.3185.4-53.10-490.7-102.50-242-46.935.4-316.5-118.3-158.1127.7-195.1-25.5130.137.7868.072-21.428-63.519-112.786-17849
Vorderingen 319.7448.7912.85,581.23,744.4934.3944.400000113.8000000000000000
Voorraden 000000000000000000000000000-9.9
Crediteuren 0000000000000000000000000000
Overig Werkkapitaal -173.5-621.7-1,284.3-5,875.5-3,812.7-748.9-997.50-490.7-102.547.2-242-160.735.4-316.5-118.3-158.1127.7-195.1-25.5130.137.7868.072-21.428-63.519-112.786-17858.9
Overige Niet-Contante Posten 7.21,273.3-152.3-942.499.1-191.7-315.7-82.415.518.9-28.1-182.147.525.763.4103.3-30.952.7-4.4187.869-2.27-261.595-134.584-262.78673.296103.482.1114.2
Kasstroom uit Operationele Activiteiten 1,1901,300.8703.21,078.11,230.31,116.6828.81,370.76541,128.41,200.4780.2819.3964.8379.2362.7525.5918.1506.7469.109214.13269.946450.258487.429654.494450.11126.7386.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -69.1-164.3-192.9-108.8-115-124.3-102.5-111.7-147.7-124.5-133.2-88.2-99.3-107-89.6-39.5-84.1-36.7-37.7-38.179-51.633-65.246-87.962-99.041-92.696-91.65-301.4-597.4
Netto Overnames 00000290.5-1,469.3-299.2-121.9060.81370-2.3-749.66.80-54.4-198.153.64-53.9-50.0050-453.52-351.852000
Aankoop van Beleggingen -4,469-3,261-2,951.6-6,194.7-4,750.4-5,473.9-4,641.8-5,886.8-3,864.9-4,820.9-6,486.3-4,953.3-3,463.9-3,166.2-2,471-148.2-270.8-411.8-69.8-25.389-45.20-60.144-24.85000-18.2
Verkoop/verval van Beleggingen 4,479.73,207.82,736.35,410.73,925.53,778.23,333.25,203.83,105.34,230.14,6934,628.53,48114,032.29,924.6112.7331.7260.418.838.64142.6710000000
Overige Investeringsactiviteiten 126.8-26.832.644.974.8104.1-18.3119.523.350.538.536.1-0.2-10,408.6-6,952.2-34.2-45.4196.12.52.1841.0627.962-0.0010-18.18810.382-310.2
Kasstroom uit Investeringsactiviteiten 68.4-244.3-375.6-847.9-865.1-1,425.4-2,898.7-974.4-1,005.9-664.8-1,827.2-239.9-82.4348.1-337.8-102.4-68.6-46.4-284.330.897-107-107.289-148.107-577.411-462.736-81.268-332.4-615.4
Financieringsactiviteiten:
Schuldaflossingen -922.9251.2-575914.6476.91,198.41,749.2373.61,185.11,014.21,238.8921.3129.4-544.3362.7-409.226.176.913.2-102.696.6-39.085-113.0714.49476.295-135.344282.9221.7
Uitgifte van Gewone Aandelen 000000000000000441.80137.466.87.77.97.0825.5616.97224.6172.5018.63.5
Terugkoop van Gewone Aandelen -79.3-187.5-244.7-60.9-47.1-469.8-51.8-63.8-535-623.7-269.6-470.5-265-436.5-192.20-313.4-716-155.90-95.50000000
Uitgekeerde Dividenden -608.3-594.7-571.6-544.5-594.2-652.7-490.6-471.6-460.4-454.5-424-379.7-289-220.9-197.9-168.9-207.1-155-143.6-134.1-135.681-166.514-150.725-122.852-95.032-87.89-73.7-42.8
Overige Financieringsactiviteiten -51.1-54.4424.4-191.9-121.5125.4333.2330.8280.487.3317.3-130.4-221.3-120.4-38.535.6-172-84.135.6-57.874-0.01964.477-63.782142.834-257.71311.072-56.1151.1
Kasstroom uit Financieringsactiviteiten -1,661.6-585.4-966.9117.3-285.9201.31,540169470.123.3862.5-59.3-645.9-1,322.1-65.9-100.7-666.4-740.8-183.9-286.874-126.7-134.042-302.01841.448-251.833-209.661161.7333.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -32.426.4-73.7-39.753.310.7-44.8104.1-132.2-74.8-52.714.717.1-3.9317.2-91.310.435.3-5.3000.0010-0.001-0.00100
Netto Kasstroomverandering -435.6497.5-713307.8138.1-104.2-712.3447.5-523.4337.2183495.7108.1-13.1-21.5176.8-330.6136.973.9162.6-16.428.6150.134-48.534-60.076159.18-44333.5
Kaspositie aan het Einde van de Periode 1,4961,931.61,434.12,147.11,839.31,701.21,805.42,517.71,3281,851.41,514.21,331.2835.5727.4740.5762585.2915.8789.6754.754546.358568.393572.261511.094511.468306.569198.6345.9