Invesco Ltd., BMG491BT1088

Invesco stock holds steady on its asset management base.

Published on 07/13/2026 at 10:02 | Editorial responsibility: Rafael Müller, Editor-in-Chief AD HOC NEWS

Invesco stock centers on a global asset management franchise with ETF, active, and alternatives exposure across public markets.

Invesco Ltd., BMG491BT1088, Illustration mit AI erstellt.
Invesco Ltd., BMG491BT1088, Illustration mit AI erstellt.

Invesco Ltd. (ISIN BMG491BT1088) is a global asset manager with a business model built around ETFs, active funds, and alternatives, and its shares trade in New York as the company serves clients across the US and internationally.

Business model

The company runs a broad investment platform that spans equity, fixed income, multi-asset, and alternatives products. That mix matters for investors because fee pressure in one area can be partly offset by inflows or product strength in another.

Market context

For a US audience, Invesco is best understood as a financials stock with direct exposure to asset-gathering trends, market levels, and client allocation shifts. In that sense, the company's revenue base is structurally different from a bank's: performance and scale often matter as much as rates.

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More on Invesco stock

Invesco's scale, product mix, and market sensitivity make it a useful read on asset-management conditions.

Core products

Invesco's lineup includes index-tracking funds, actively managed strategies, and alternatives that can appeal to investors looking for diversification beyond plain equity beta. That product spread gives the firm multiple ways to compete even when one corner of the market slows.

Stock context

Invesco Ltd. is listed on the NYSE under the ticker IVZ, and the shares are denominated in US dollars. As of July 13, 2026, 8:02 a.m. UTC, the price was not included in the available source set.

Invesco Ltd. at a glance

  • Company: Invesco Ltd.
  • ISIN: BMG491BT1088
  • Ticker: IVZ
  • Exchange: NYSE
  • Sector / Industry: Financials / Asset Management

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