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Invesco Ltd
XBER:3IW

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Invesco Ltd
XBER:3IW
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Price: 22.6 EUR Market Closed
Market Cap: €15.6B

Balance Sheet

Balance Sheet Decomposition
Invesco Ltd

Balance Sheet
Invesco Ltd

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Balance Sheet
Currency: USD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
572
569
545
716
834
952
658
790
1 377
1 110
836
1 331
1 514
1 851
1 328
2 006
1 148
1 049
1 408
1 896
1 235
1 469
987
1 038
Cash
572
569
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash Equivalents
0
0
545
716
834
952
658
790
1 377
1 110
836
1 331
1 514
1 851
1 328
2 006
1 148
1 049
1 408
1 896
1 235
1 469
987
1 038
Total Receivables
585
617
556
709
805
979
543
672
1 097
967
1 000
1 433
1 278
1 094
1 217
1 416
795
1 018
851
878
802
702
741
885
Accounts Receivables
143
198
212
666
805
979
543
672
1 097
967
1 000
1 433
1 278
1 094
1 217
1 416
795
1 018
851
878
802
702
741
885
Other Receivables
442
419
344
43
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Current Assets
38
44
85
58
69
66
56
58
64
51
0
101
132
121
117
124
127
144
149
166
0
0
0
0
Total Current Assets
1 195
1 230
1 186
1 483
1 708
1 997
1 257
1 520
2 538
2 128
1 836
2 865
2 924
3 066
2 662
3 546
2 070
2 211
2 408
2 940
2 037
2 171
1 727
1 922
PP&E Net
317
305
226
180
199
180
205
221
272
313
350
351
403
427
465
491
469
909
840
775
922
919
814
676
PP&E Gross
317
305
226
180
199
180
205
221
272
313
0
0
403
427
465
491
469
909
840
775
922
919
814
676
Accumulated Depreciation
453
485
393
403
599
607
466
518
563
525
0
0
577
603
641
729
805
919
1 006
1 079
1 130
945
955
910
Intangible Assets
0
0
129
99
166
154
143
139
1 337
1 323
1 288
1 264
1 247
1 354
1 399
1 559
2 176
7 358
7 306
7 228
7 141
5 848
5 749
3 927
Goodwill
4 096
4 306
4 300
4 214
6 361
6 848
5 967
6 468
6 980
6 908
7 048
6 867
6 579
6 176
6 129
6 591
7 157
8 509
8 916
8 883
8 558
8 692
8 318
8 477
Long-Term Investments
512
293
1 089
181
1 750
1 505
1 089
1 025
7 679
7 114
5 161
5 574
6 648
7 035
5 911
6 333
6 827
8 638
8 737
9 969
9 528
9 685
9 615
11 531
Other Long-Term Assets
125
155
260
219
150
198
148
147
73
69
138
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Assets
4 517
5 074
4 499
5 424
8 257
8 892
6 916
7 858
8 544
8 401
8 720
9 216
9 240
13 190
15 297
19 740
19 436
20 304
17 214
11 774
10 130
10 311
9 104
9 038
Total Assets
6 666
N/A
7 057
+6%
7 390
+5%
7 584
+3%
12 229
+61%
12 925
+6%
9 757
-25%
10 910
+12%
20 444
+87%
19 347
-5%
17 492
-10%
19 271
+10%
20 463
+6%
25 073
+23%
25 734
+3%
31 669
+23%
30 978
-2%
39 420
+27%
36 504
-7%
32 686
-10%
29 757
-9%
28 934
-3%
27 009
-7%
27 094
+0%
Liabilities
Accounts Payable
196
265
313
751
533
817
439
516
807
712
626
763
757
863
812
896
1 087
1 539
1 601
776
835
861
830
897
Accrued Liabilities
477
498
632
550
0
764
468
395
603
569
610
676
667
661
654
696
647
1 396
1 293
1 352
1 341
1 334
1 484
1 498
Short-Term Debt
8
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
358
0
79
10
300
0
297
0
0
215
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Current Liabilities
796
1 115
1 266
1 211
1 675
2 039
878
1 366
1 368
1 303
1 706
2 298
2 428
6 613
8 884
13 228
11 564
10 990
7 681
1 985
669
394
0
0
Total Current Liabilities
1 835
1 878
2 290
2 522
2 508
3 620
2 082
2 277
2 778
2 799
2 942
3 737
3 852
8 137
10 350
14 820
13 298
13 925
10 575
4 113
2 845
2 589
2 315
2 395
Long-Term Debt
960
1 303
1 297
1 212
1 016
1 393
862
746
7 181
6 583
5 085
5 770
6 739
7 510
6 506
6 876
7 635
8 315
8 797
9 421
8 078
8 611
7 092
9 378
Deferred Income Tax
0
0
37
0
0
0
0
0
229
274
311
324
305
289
310
276
326
1 530
1 524
1 626
1 663
1 326
1 282
902
Minority Interest
0
1
3
3
1 505
1 121
907
708
1 096
1 019
732
585
959
978
392
503
754
839
659
1 183
1 629
1 318
1 109
774
Other Liabilities
192
189
239
235
1 036
201
217
267
895
554
104
462
281
274
673
499
388
950
589
846
330
492
652
1 415
Total Liabilities
2 987
N/A
3 371
+13%
3 864
+15%
3 971
+3%
6 065
+53%
6 335
+4%
4 067
-36%
3 997
-2%
12 180
+205%
11 228
-8%
9 176
-18%
10 878
+19%
12 137
+12%
17 188
+42%
18 231
+6%
22 973
+26%
22 400
-2%
25 558
+14%
22 142
-13%
17 190
-22%
14 543
-15%
14 336
-1%
12 449
-13%
14 863
+19%
Equity
Common Stock
320
358
387
82
461
85
85
92
98
98
98
98
98
98
98
98
98
4 124
4 124
4 124
4 124
4 124
4 124
2 624
Retained Earnings
1 744
1 864
1 663
3 428
701
1 202
1 476
1 631
2 400
2 748
2 930
3 466
3 944
4 440
4 833
5 489
5 885
5 918
6 085
7 169
7 518
6 827
6 990
5 887
Additional Paid In Capital
998
1 206
1 340
85
4 966
5 306
5 353
5 688
6 263
6 181
6 141
6 101
6 134
6 198
6 227
6 282
6 335
7 861
7 811
7 688
7 555
7 452
7 335
7 269
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
13
12
5
10
9
0
1
1
1
0
0
0
0
Treasury Stock
0
0
0
0
578
954
1 129
892
992
1 280
1 383
1 700
1 898
2 404
2 846
2 782
3 004
3 453
3 254
3 044
3 041
3 003
2 853
2 826
Other Equity
617
258
136
18
615
952
96
394
496
373
531
415
36
451
819
400
735
588
405
442
942
802
1 036
723
Total Equity
3 679
N/A
3 686
+0%
3 526
-4%
3 613
+2%
6 164
+71%
6 591
+7%
5 690
-14%
6 913
+21%
8 265
+20%
8 119
-2%
8 317
+2%
8 393
+1%
8 326
-1%
7 885
-5%
7 504
-5%
8 696
+16%
8 579
-1%
13 863
+62%
14 362
+4%
15 496
+8%
15 214
-2%
14 598
-4%
14 560
0%
12 231
-16%
Total Liabilities & Equity
6 666
N/A
7 057
+6%
7 390
+5%
7 584
+3%
12 229
+61%
12 925
+6%
9 757
-25%
10 910
+12%
20 444
+87%
19 347
-5%
17 492
-10%
19 271
+10%
20 463
+6%
25 073
+23%
25 734
+3%
31 669
+23%
30 978
-2%
39 420
+27%
36 504
-7%
32 686
-10%
29 757
-9%
28 934
-3%
27 009
-7%
27 094
+0%
Shares Outstanding
Common Shares Outstanding
397
400
405
409
416
380
377
419
448
436
431
424
421
409
404
407
397
453
459
461
455
450
448
444
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
4
4
4
4
4
4
3
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