Invesco Ltd. vs Nokia Corp — how do they compare? Invesco Ltd. trades at $29.68 (market cap $13.15B), while Nokia Corp trades at $10.94 (market cap $56.70B). The key difference: Nokia Corp is far larger — about 4.3× Invesco Ltd.'s market cap, and Invesco Ltd. pays the higher dividend (2.9%). Which is the better fit depends on your goals.
| IVZ | NOK | |
|---|---|---|
Market Cap | $13.15B | $56.70B |
Sector | Financials | Technology |
52-Week High | $30.30 | $16.83 |
52-Week Low | $20.20 | $4.05 |
Enterprise Value | $23.39B | $53.51B |
Dividend Yield | 2.9% | 1.63% |
Trailing returns across standard periods
Invesco provides investment-management services to retail (65% of managed assets) and institutional (35%) clients. At the end of August 2022, the firm had $1.416 trillion in assets under management spread among its equity (47% of AUM), balanced (5%), fixed-income (22%), alternative investment (14%), and money market (12%) operations. Passive products account for 32% of Invesco's total AUM, including 56% of the company's equity operations and 13% of its fixed-income platform. Invesco's U.S. retail business is one of the 10 largest nonproprietary fund complexes in the country. The firm also has a meaningful presence outside the U.S., with close to one third of its AUM sourced from Canada (2%), the U.K. (4%), continental Europe (11%), and Asia (15%).
Read more on IVZ →Nokia is a leading vendor in the telecommunications equipment industry. The company's network business derives revenue from selling wireless and fixed-line hardware, software, and services. Nokia's technology segment licenses its patent portfolio to handset manufacturers and makes royalties from Nokia-branded cellphones. The company, headquartered in Espoo, Finland, operates on a global scale, with most of its revenue from communication service providers.
Read more on NOK →