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Ameriprise Financial Inc

AMP | US

464.12

USD

4.49

0.98%

AMP | US
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About Ameriprise Financial Inc

Sector

Financial Services

Industry

Asset Management

Earnings date

30/06/2024

As of date

24/04/2026

Close

464.12

Open

459.21

High

467.93

Low

451.98

Ameriprise Financial Inc. through its subsidiaries provides various financial products and services to individual and institutional clients in the United States and internationally. It operates through four segments: Advice & Wealth Management Asset Management Retirement & Protection Solutions and Corporate & Other. The Advice & Wealth Management segment provides financial planning and advice; brokerage products and services for retail and institutional clients; discretionary and non-discretionary investment advisory accounts; mutual funds; insurance and annuities products; cash management and banking products; and face-amount certificates. The Asset Management segment offers investment management and advice and investment products to retail high net worth and institutional clients through unaffiliated third-party financial institutions and institutional sales force. This segment products also include U.S. mutual funds and their non-U.S. equivalents exchange-traded funds variable product funds underlying insurance and annuity separate accounts; and institutional asset management products such as traditional asset classes separately managed accounts individually managed accounts collateralized loan obligations hedge funds collective funds and property and infrastructure funds. The Retirement & Protection Solutions segment provides variable annuity products to individual clients as well as life and DI insurance products to retail clients. The company was formerly known as American Express Financial Corporation and changed its name to Ameriprise Financial Inc. in September 2005. The company was founded in 1894 and is headquartered in Minneapolis Minnesota.

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AMP | US

Risk
26.7
Sharpe
-0.22
Luna's Score
60/100
Recommendation
Hold

Luna says (AMP | US)

What's Working

Strength based on increasing price with high volume

Low 6-Month Volatility (<30%)

Largecap (10B - 200B USD)

Low Debt to Asset (< 0.2)

Strong Operating Margin (> 25%)

What's not Working

High Market Beta (> 0.8)

High Debt to Equity (> 0.75)

Rich in Valuation (Price to Book > 8)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bearish: Increased Volatility (6-month > 1-month volatility)

Risk Meter

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10 days

23.4%

1 month

26.7%

3 months

31.3%

6 months

28.2%

Returns

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Fundamental Ratios

PE

17.89

Fwd. PE

13.74

Price to book

10.25

Debt to equity

1.20

Debt to assets

0.03

Ent. to EBITDA

-

Ent. to rev.

3.03

PEG

1.04

Other Fundamentals

EBITDA

4.27B

MarketCap

45.57B

MarketCap(USD)

45.57B

Div. yield

1.14

Op. margin

36.27

Erngs. growth

-2.30

Rev. growth

9.60

Ret. on equity

67.63

Short ratio

2.89

Short perc.

1.49

Market Sentiment (SMA and Price signals)

Short-term: Bullish (SMA10D > SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

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Range10D

30.63

Range1M

49.52

Range3M

127.81

Volumes: Market Activity

Volume Averages

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Rel. volume

1.82

Price X volume

494.71M

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA-332.92-
Ent. to Revenue3.0318.60Cheaper
PE Ratio17.8920.20Par
Price to Book10.252.63Expensive
Dividend Yield1.147.25Poor
Std. Deviation (3M)31.3121.97Riskier
Debt to Equity1.2050.50Cheaper
Debt to Assets0.0344.08Cheaper
Market Cap45.57B8.59BMarket Leader
  • 1

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