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"Invesco’s AUM performed 70% better than the top half of their peer group over a 10-year period."

The Impaakt Team

7 min Read Time | December 3rd 2021

WOW Graphics Impaakt Social Media 24

Invesco’s assets under management performed 70% better than the top half of their competitors.


The winner this week is:

Written by: Soumya K

Company: Invesco

SDG 9: Industry, Innovation and Infrastructure

Read the full article below.

"Invesco’s AUM performed 70% better than the top half of their peer group over a 10-year period."

An asset management company (AMC) is a firm that invests pooled funds from clients, putting the capital to work through different investments including stocks, bonds, real estate, master limited partnerships, and more1. It reduces the risk of investment for people2. Asset managers conduct in-depth research to select investment instruments, propose different types of investment risk profiles through tailored mandates or diversified funds2 to a range of clients3.

Invesco, an American asset management company operates in 25 countries4 and offers financial products such as mutual funds, closed-end funds, etc5. It managed USD1,563 billion (bn) as of August 20214. Invesco ranked 22nd on the list of the top 57 largest asset managers in the world6. In 2020, the assets managed by Invesco were $1,404bn whereas Blackrock, the largest asset manager, managed $9,010bn in 20206.

In September 2020, the majority of the assets were managed in the Americas (71%), followed by Asia (13%), EMEA Ex UK (11%) and the UK (5%)7. Around 70% of the assets under management (AUM) across all segments of Invesco performed in the top half of the peer group over a 10-year period8;p33.

Around 70% of the AUM for the equity, fixed income and other segments performed better than their respective benchmark over a five-year period8;p33. Overall, 54% of equity assets, 93% of fixed income assets and 93% of assets in other segments performed better than their respective benchmarks over a five-year period8;p33.

Invesco’s asset managers have consistently yield higher returns when compared to their peers over a five-year and a 10-year period, while managing the risk.


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