AMP
NYSE · Financial Services
Ameriprise Financial Inc
$451.89
+3.72 (+0.83%)
Performance
1D
—
1W
—
1M
—
3M
-9.95%
6M
-9.55%
1Y
-10.54%
YTD
-8.48%
Open$452.45
Previous Close$448.17
Day High$457.58
Day Low$445.09
52W High$550.18
52W Low$396.14
Volume—
Avg Volume874.7K
Market Cap43.89B
P/E Ratio12.32
EPS$36.35
SectorFinancial Services
Technical Indicators
Full analysis →
SMA 50
$500.85
Below
SMA 200
$498.97
Below
RSI (14)
33.5
Neutral
Trend
Golden Cross
Bullish
Analyst Ratings
Buy
20 analysts
Price Target
-75.7% upside
Current
$451.89
$451.89
Target
$109.64
$109.64
$75.13
$109.64 avg
$125.81
Key Financials
| FY 2026 | FY 2025 | FY 2024 | |
|---|---|---|---|
| Revenue | 17.80B | 16.23B | 13.83B |
| Net Income | 3.35B | 2.75B | 2.62B |
| Profit Margin | 18.8% | 17.9% | 19.0% |
| EBITDA | 5.49B | 4.76B | 4.19B |
| Free Cash Flow | — | — | 1.82B |
| Rev Growth | +9.6% | +9.6% | -7.7% |
| Debt/Equity | 6.05 | 6.05 | 0.43 |
Dividend
Dividend Yield1.35%
Annual Dividend$5.85
Payout Ratio16.9%
Frequencyquarterly
Ex-Dividend—
Pay Date—
About Ameriprise Financial Inc
Ameriprise Financial, Inc. is a leading diversified financial services company headquartered in Minneapolis, Minnesota, providing financial planning, wealth management, asset management, and annuity and insurance products to retail and institutional clients. The company operates through two primary segments: Advice and Wealth Management and Asset Management, with asset management conducted largely through its Columbia Threadneedle Investments subsidiary. Ameriprise manages a substantial level of client assets across individual, retirement, and institutional channels. Originally spun off from American Express, the company has grown into one of the largest financial planning and wealth management firms in the United States.
Financial Services Peers
| Symbol | Name | Price | Change | P/E | Mkt Cap |
|---|---|---|---|---|---|
| BRK.B | Berkshire Hathaway Inc | $476.19 | -0.66% | 15.9 | 1.07T |
| V | Visa Inc | $304.91 | +0.38% | 29.0 | 603.38B |
| MA | Mastercard Inc | $502.76 | +0.77% | 30.8 | 461.31B |
| MS | Morgan Stanley | $165.65 | -0.13% | 16.4 | 275.98B |
| GS | Goldman Sachs Group | $841.84 | +0.73% | 16.0 | 274.87B |
| AXP | American Express Co | $300.24 | -0.58% | 21.6 | 233.63B |
AMP Frequently Asked Questions
What does Ameriprise Financial do?
Ameriprise Financial operates one of the largest networks of financial advisors in the United States, helping individuals and families manage their wealth through investment management, insurance products, and retirement planning. The company distributes products through its own employee advisor force and independent advisors affiliated with the Ameriprise brand. It also operates Columbia Threadneedle Investments, an institutional and retail asset manager serving clients globally. Fee-based advisory relationships — where advisors charge a percentage of assets managed rather than transaction commissions — have grown as a share of total revenue, providing more predictable income.
Is AMP stock a good investment?
Ameriprise has delivered consistent earnings growth by combining market appreciation of advisor-managed assets, net new asset flows from an expanding advisor base, and active share buybacks that reduce the share count year after year. When markets rise, assets under management grow and fee revenues expand — a powerful earnings tailwind in bull markets. The reverse is also true, making AMP's earnings sensitive to equity market performance. Management has been disciplined about buybacks, reducing shares outstanding substantially over the past decade. Columbia Threadneedle faces competitive pressure from passive investing trends.
Who are Ameriprise Financial's main competitors?
Morgan Stanley and Merrill Lynch (Bank of America) are the most prominent wirehouse wealth managers competing for the same affluent client relationships. Raymond James Financial competes in the independent advisor channel. LPL Financial is the largest independent broker-dealer platform and competes for affiliated independent advisors. Edward Jones competes directly with a large retail advisor force in suburban and rural markets. In asset management, Columbia Threadneedle faces competition from Vanguard, BlackRock, Fidelity, and hundreds of boutique managers.
Does Ameriprise Financial pay dividends?
Ameriprise pays a quarterly dividend that has grown consistently, though the dividend yield is modest relative to the total return profile — the company has been more aggressive about share repurchases as its primary capital return mechanism. The buyback program has reduced shares outstanding by a substantial percentage over the years, which has been a significant driver of earnings per share growth independent of market performance or business growth. Management has signaled that buybacks remain the priority as long as the stock trades below the company's intrinsic value assessment.
How much does AMP stock cost right now?
AMP last closed at $451.89, up 0.83% in the most recent trading session. Over the past 52 weeks, the stock has traded between a low of $396.14 and a high of $550.18. The current price represents 36% of its 52-week range, which helps investors gauge where the stock sits relative to its recent trading history.
What is the analyst consensus for AMP?
Among 20 analysts covering AMP, the consensus rating is Buy — 11 rate it a buy, 8 hold, and 1 sell. The average price target sits at $109.64, implying 76% downside from the current price. Keep in mind that analyst targets reflect 12-month expectations and can shift quickly after earnings reports or major company events.
Does Ameriprise Financial Inc make money?
Ameriprise Financial Inc generated $17.80B in revenue during fiscal year 2026, with $3.35B reaching the bottom line as net income. The net profit margin of 18.8% is solid for its sector.
Is AMP stock expensive based on earnings?
AMP trades at a P/E ratio of 12.32 on trailing earnings of $36.35 per share. That's below the S&P 500 average, suggesting the market may see limited growth or is pricing in sector-specific risks. Comparing this multiple against Financial Services sector peers gives better context than the broad market alone, since P/E norms vary significantly across industries.
Is AMP stock going up or down?
Performance varies across timeframes, reflecting shifting market conditions. Returns by timeframe: -9.95% (3M), -9.55% (6M), -10.54% (1Y), -8.48% (YTD). Comparing these figures against the S&P 500 and sector benchmarks helps determine whether AMP is outperforming or lagging the broader market.