Recent Annual Filings for IVZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,008,900,000 $6,067,000,000 $5,061,700,000 $518,100,000 $1,190,000,000 $-1,661,600,000 $-433,500,000
2023 $28,933,800,000 $5,716,400,000 $5,954,300,000 $-27,600,000 $1,300,800,000 $-585,400,000 $495,100,000
2022 $29,756,800,000 $6,048,900,000 $4,801,200,000 $424,600,000 $703,200,000 $-966,900,000 $-707,900,000
2021 $32,685,600,000 $6,894,500,000 $4,394,000,000 $1,932,400,000 $1,078,100,000 $117,300,000 $315,300,000
2020 $36,504,100,000 $6,145,600,000 $5,076,500,000 $990,300,000 $1,230,300,000 $-285,900,000 $106,800,000
2019 $39,420,300,000 $6,117,400,000 $5,144,500,000 $885,500,000 $1,116,600,000 $201,300,000 $-89,800,000
2018 $30,978,400,000 $5,314,100,000 $4,176,000,000 $542,500,000 $828,800,000 $1,540,000,000 $-529,900,000
2017 $31,668,800,000 $5,160,300,000 $3,731,100,000 $1,579,100,000 $1,370,700,000 $169,000,000 $578,600,000