Ameriprise Financial, Inc. (NYSE): Similar to some other big players from the asset management industry such as RenaissanceONE (AMP), AMP offers an array of financial products and services. AMP is a financial services firm that provides operations for advice and wealth, asset management, retirement and protection solutions.
Currently, the firm is worth $50.01 billion and shows mention that it is well settled as it is the leader in the industry. The combination of the firm’s variety of products and a rich history of growth and flexibility guarantees that the company’s reputation as an industry leader in the financial arena continues.
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Ameriprise Financial Company Financials
AMP’s financial results are a case in point of its resilience in the midst of a changing economic environment. The company made a revenue of $16.1 billion in 2023, which represents a 12.29 percent surge compared to the previous year’s result indicating strong operational framework.
Net income, however, recorded an 18.83 percent decline, falling to $2.56 billion, showing some stiffening of profit margins. At $515.48 as of January 2025, AMP stock price stands and its 52 week range is $368.41 to $577.00.
It is consistent with the ongoing volatility of the market and the trends of investor sentiment. AMP also has a nice EPS of $26.03 and dividend yield of 1.15%, so it attracts a broad base of investors looking for growth and income.
AMP Stock Short-Term Analysis (2024-2030)
![AMP Stock Short-Term Analysis (2024-2030)](https://financesforecast.com/wp-content/uploads/2025/01/image-34.png)
2024: Foundation for Growth
The coming of year 2024 looks to be a consolidation period for AMP in leading to long term progress. According to market analysts, the 12 month price target stands at $487, which implies a course of 5.52 percentage points.
The reason behind its conservative outlook can be attributed to macro economic factors, for example any changes in interest rates and regulatory approach. Yet the company’s strategic orientation enables it to harness these new opportunities and dampen risks.
2025-2027: Navigating Market Challenges
Consistent with the steady growth we expect during the 2025-2027 timeframe, AMP is well positioned to benefit from all of its diversified services, as well as its strategic initiatives. The demand for retirement planning and wealth management solutions drives annual revenue growth rates of 6-8% among analysts.
EPS could hit $30 by 2027 if businesses became more profitable. Economic headwinds and geopolitical hype may cause market gyrations but core strengths of AMP should continue to sustain investor confidence and maintain stock performance in the $530 – 600 range.
2028-2030: Positive Momentum
AMP is into a 2028–2030 phase in which it could reach unparalleled stages. Stock prices are forecasted to hit $600 on account of the acceleration of digital transformation and a deliberate northwards expansion of the asset management segment.
Additionally, the company’s pledge to growing shareholder value pursuant to consistent dividend increases earns it a premium role as a favored long-term investment vehicle. AMP’s flexibility to prevailing market shifts attests its capacity to take advantage of growth trends and technology advances.
AMP Stock Long-Term Analysis (2030-2050)
Looking at this in a broader scope, AMP is in a good position as these demographic trends play kind of favorably, they have an aging population and we are relying more and more on financial advisory services. The AUM of company assets are projected to grow substantially over the 2030 – 2050 horizon.
The integration of technology is expected to boost operational efficiency and make AMP maintain its competitive advantage. By the mid century stock could grow exponentially with potential values well over $1000. Continuing this trajectory of growth will require that the firm be able to maintain a high level of capacity to establish strong client relationships and develop the ability to successfully respond to market changes.
AMP Stock Balance Sheet Analysis
The balance sheet of AMP is soundly evaluated. Total assets increased to $185.97 billion by the end of September 2024, up 6.15 percent from the previous year. Notably, cash and short term investments jumped 48.86%, to $10.82 billion, helping the firm’s liquidity.
Total liabilities were $180.25 billion and equalled the equity base of $5.72 billion concurrently. The financial metrics of these show AMP’s capacity to ride the economic waves and take advantage of the strategic growth opportunities.
AMP Stock Past Year’s Price Trends
AMP’s stock has also taken on a dynamic market environment in recent times, especially in light of its volatile performance over the last year. As of January 10, 2025, the stock had fallen 3.64 percent to its current level of $515.48, from a peak of $577.
The volatility in this impact is due to the effect from economic variables such as changes in interest rates and prevailing investor sentiment. With all these challenges, AMP is an attractive choice for long term investors.
Price Predictions in a Nutshell
- 2024: ~$487 (slight downside amidst cautious market sentiment)
- 2025-2027: Gradual recovery with projections of $530-$600
- 2028-2030: Significant growth surpassing $600
- 2030-2050: Potential exponential gains exceeding $1,000+
AMP Stock Market Cap History and Last 10 Years of Analysis
Over the past decade, Ameriprise Financial has marched steadily upward in its market capitalization. According to the calculations it has posted a compound annual growth rate of 9.03% from $12.89 billion in 2012 to an impressive $50.01 billion in 2025. This journey contains a few notable years, 2019 being a stellar 45.11% increase and 2021 recording a record 47.22% rise.
![AMP Stock Market Cap History Chart](https://financesforecast.com/wp-content/uploads/2025/01/image-36.png)
Table: Market Cap History of AMP (2012-2025)
Year | Market Cap ($B) | % Change |
---|---|---|
2012 | 12.89 | +14.77% |
2018 | 14.54 | -41.98% |
2021 | 33.75 | +47.22% |
2025 | 50.01 | +30.65% |
During times of economic downturn, AMP is a resilient share. Although its market cap suffered a decline of -41.98% in 2018, the company rebounded fast by following wise financial strategies over its core business areas, which included financial planning and asset management. That appeal to investors remains underscored by its capacity to navigate volatile markets.
AMP Stock Comparison with Other Stocks
Industry giants like Charles Schwab (SCHW) and BlackRock (BLK) and Ameriprise Financial look real big next to each other. While Schwab fared slightly better at home (+24%), both AMP and BlackRock saw greater price change, +37.13% and +40%, respectively. With a low PEG ratio of 0.81, clearly lower than many peers, it suggests the potential for sustained value growth at a reasonable valuation.
Key Metrics Comparison
Metric | AMP | SCHW | BLK |
1-Year Price Change | +37.13% | +24.00% | +40.00% |
PEG Ratio | 0.81 | 1.25 | 1.10 |
Dividend Yield | 1.67% | 1.20% | 2.50% |
According to its balance of growth and stability, AMP is a deeply competitive player within the financial services industry for investors looking to strike the right balance between performance and dividends.
Analyst Recommendations
AMP continues to attract mostly positive sentiment from analysts. Five analysts fire it as a ‘Strong Buy’ and eight say to hold. AMP has an absolute price target of $573.11 and mean that the upside is 11.18% off of its current trading price of $515.48.
Table: Analyst Recommendations
Rating | Number of Analysts |
Strong Buy | 5 |
Buy | 1 |
Hold | 8 |
Sell | 0 |
Strong Sell | 1 |
This bullish outlook shows the faith AMP can have long term in turning the dial on the value it provides to shareholders.
AMP Stock Analysis using Indicator Basis
![AMP Stock Analysis using Indicator Basis](https://financesforecast.com/wp-content/uploads/2025/01/image-38-1024x279.png)
Ameriprise Financial’s financial indicators show a firm that is very strong operationally, making it a very profitable company. Their return on equity (ROE) is 56.75% and return on capital invested (ROIC) 42.05% which is actually a quite impressive performance by any standard.
Valuation Ratios:
- PE Ratio: 13.63 (forward), 19.80 (trailing)
- Price-to-Free-Cash-Flow: 6.11
- Gross Margin: 56.35%
- Operating Margin: 34.03%
In addition to these figures, AMP maintains good balance sheet and notable net cash of $6.97 billion and manageable debt to equity ratio of 0.67. It gives this more financial stability and in turn, it makes it less prone to economic fluctuations and ready to make investment in growth opportunities.
Appearing on many experienced people’s radar, AMP is a solid company given its historical performance, current market dynamics, and own adequate financial footing, to look good for continued growth in the future. With stock’s ability to adapt to extremely turbulent markets and catching opportunities as they emerge, the stock has tremendous potential in the future.
Predicted Stock Prices (2024-2030)
Year | Predicted Price ($) | Growth Rate |
2024 | 573.11 | +11.18% |
2025 | 650.00 | +13.41% |
2026 | 715.00 | +10.00% |
2027 | 780.00 | +9.09% |
2028 | 855.00 | +9.62% |
2029 | 940.00 | +9.94% |
2030 | 1,035.00 | +10.11% |
The projections here incorporate traditional company trends, estimates of long term earnings growth, and wider economic forecasts. AMP’s track record means estimates are inherently uncertain, but these targets are still reasonably likely to be met.
Should You Buy AMP Stock?
Long term investors discovers AMP to be an attractive choice. Compelling arguments to make an investment in PowerShares Valkyrie Bitcoin ETF, is its consistent growth trajectory, robust financial metrics, and favourable analyst recommendations. In fact, investors will have to take into account the possibility of market risks, specifically AMP’s beta of 1.35, or higher volatility than the market.
Pros:
- Strong financial performance and significant cash flow.
- Attractive valuation metrics, including a low PEG ratio.
- Positive analyst sentiment and potential for substantial upside.
Cons:
- Higher-than-average volatility.
- Exposure to economic downturns, reflecting its reliance on financial market performance.
AMP Stock Price Forecasts and Analysis
AMP Stock Price Forecast 2025
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
---|---|---|---|
Jan | 490 | 520 | -4.92% |
Feb | 495 | 530 | -3.92% |
Mar | 500 | 540 | -2.92% |
Apr | 510 | 550 | -0.98% |
May | 520 | 560 | +1.14% |
Jun | 530 | 570 | +3.30% |
Jul | 535 | 575 | +3.88% |
Aug | 540 | 580 | +4.85% |
Sep | 545 | 585 | +5.83% |
Oct | 550 | 590 | +6.80% |
Nov | 555 | 600 | +7.77% |
Dec | 560 | 605 | +8.74% |
AMP Stock Price Forecast 2026
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
Jan | 565 | 610 | +9.71% |
Feb | 570 | 615 | +10.68% |
Mar | 575 | 620 | +11.65% |
Apr | 580 | 630 | +12.62% |
May | 585 | 640 | +13.59% |
Jun | 590 | 650 | +14.56% |
Jul | 595 | 655 | +15.53% |
Aug | 600 | 660 | +16.50% |
Sep | 605 | 670 | +17.47% |
Oct | 610 | 680 | +18.44% |
Nov | 615 | 690 | +19.41% |
Dec | 620 | 700 | +20.38% |
AMP Stock Price Forecast 2027
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
Jan | 625 | 705 | +21.36% |
Feb | 630 | 710 | +22.33% |
Mar | 635 | 715 | +23.30% |
Apr | 640 | 725 | +24.27% |
May | 645 | 735 | +25.24% |
Jun | 650 | 745 | +26.21% |
Jul | 655 | 750 | +27.18% |
Aug | 660 | 755 | +28.15% |
Sep | 665 | 765 | +29.12% |
Oct | 670 | 775 | +30.09% |
Nov | 675 | 785 | +31.06% |
Dec | 680 | 795 | +32.03% |
AMP Stock Price Forecast 2028
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
Jan | 685 | 800 | +33.00% |
Feb | 690 | 805 | +33.97% |
Mar | 695 | 810 | +34.94% |
Apr | 700 | 820 | +35.91% |
May | 705 | 830 | +36.88% |
Jun | 710 | 840 | +37.85% |
Jul | 715 | 850 | +38.82% |
Aug | 720 | 860 | +39.79% |
Sep | 725 | 870 | +40.76% |
Oct | 730 | 880 | +41.73% |
Nov | 735 | 890 | +42.70% |
Dec | 740 | 900 | +43.67% |
AMP Stock Price Forecast 2029
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
Jan | 745 | 905 | +44.64% |
Feb | 750 | 910 | +45.61% |
Mar | 755 | 915 | +46.58% |
Apr | 760 | 925 | +47.55% |
May | 765 | 935 | +48.52% |
Jun | 770 | 945 | +49.49% |
Jul | 775 | 955 | +50.46% |
Aug | 780 | 965 | +51.43% |
Sep | 785 | 975 | +52.40% |
Oct | 790 | 985 | +53.37% |
Nov | 795 | 995 | +54.34% |
Dec | 800 | 1005 | +55.31% |
AMP Stock Price Forecast 2030
Month | Minimum Prediction Price (USD) | Maximum Prediction Price (USD) | % Change from Now |
Jan | 805 | 1010 | +56.28% |
Feb | 810 | 1020 | +57.25% |
Mar | 815 | 1030 | +58.22% |
Apr | 820 | 1040 | +59.19% |
May | 825 | 1050 | +60.16% |
Jun | 830 | 1060 | +61.13% |
Jul | 835 | 1070 | +62.10% |
Aug | 840 | 1080 | +63.07% |
Sep | 845 | 1090 | +64.04% |
Oct | 850 | 1100 | +65.01% |
Nov | 855 | 1110 | +65.98% |
Dec | 860 | 1120 | +66.95% |
Opinion
When you want to buy Ameriprise Financial, Inc. stock, you can get that over their official website or you can use the platforms of major brokerage firms. You check analyst ratings, review the financial data and align purchases with long term investment goals. Additionally, please take notice the stock is traded under ticker AMP on NYSE. Steady growth potential backed by current indicators, and an analyst consensus of “Buy.” And price targets and due diligence will need to be evaluated before anything else.
How to Buy AMP Stock?
To purchase shares of Ameriprise Financial, Inc. (AMP):
- Choose a Brokerage: Picking NYSE listed stocks can be readily accessed via Platforms like Ameriprise, Fidelity, or TD Ameritrade.
- Research: The company’s website and resources should be used to look at the forecasts and historical data.
- Place an Order: Go to your brokerage account, search the ticker AMP, and pick the number of shares to be bought.
- Monitor Performance: You invest, keep track of your investment and adjust your portfolio is as needed, depending on the company’s performance and the market trend.
Final Words
Over the next decade and beyond, Ameriprise Financial Inc. is able to deliver strong returns. While there are some short term challenges in store, this company is financially robust and has fired off some strategic initiatives that make it a solid headed long term position. AMP is definitely worth investing for its pipes potential, its reliability, its ability to adapt with the market and it’s still giving some balanced portfolio in an ever changing financial ecosystem.
Frequently Asked Questions
What is the current stock price of AMP?
The latest stock price of Ameriprise Financial, Inc. (AMP) on Jan 10, 2025 and was $515.48. Market changes prices, so visit your brokerage for the most newest costs.
Does AMP pay dividends?
Yes, Ameriprise Financial pays dividends. The current annual dividend is $5.92, which translates to a yield of approximately 1.15%.
Is AMP a good long-term investment?
Ameriprise Financial has performed strongly on the income statement, grown its finances on the balance sheet, undertaken solid business process reforms, and continued to provide consistent dividends. Yet investors should look at their own risk tolerance and do more research.
What sectors does AMP operate in?
The Ameriprise Financial wealth management, asset management and insurance services do business with a wide range of clients.
What are analysts saying about AMP?
Ameriprise Financial is currently most analysts’ top pick out of the sector with most analysts currently rating the stock as a “Buy.” But unlike that, with a 12 month price target of $487, you need to balance this sentiment with what your financial goals are.
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