AMPfinancial servicesnyseupdated 10:33:02 PM

Ameriprise Financial logoAmeriprise Financial

Ameriprise Financial (AMP) is a financial services company operating in asset management. Rate cycles, credit quality, and capital returns usually drive relative performance. This analysis page tracks valuation context, trend strength, and downside risk over time.

Price

$497.32

+0.23% today

Risk

Medium

27.9% vol · 30d

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Key facts, as of

As of September 29, 2026, Ameriprise Financial (AMP) trades at $497.32, down 0.5% over the past year. Its 52-week range runs from $422.37 to $572.56; the price is 13.1% below that high. It sits 0.8% above its 200-day average of $493.15, the usual sign of a long-term uptrend. Its 30-day volatility is 27.9% annualized, which we rate medium risk. It has a trailing P/E of 12.0 and a dividend yield of 1.37%.

Cite: Portfolio Terminal, "Ameriprise Financial (AMP) stock analysis", 2026-09-29. https://portfolio-terminal.com/analyse/amp

01Market

Where it trades today

Market cap

$43.93B

Price / earnings

12.0x

Beta

1.13

swings more than the market

Dividend yield

1.37%

Volume

496.4K

avg 560.3K

50-day average

$545.42

200-day average

$493.15

30-day trend

bearish

52-week range13.1% below the high
low $422.37$497.32high $572.56

trading 50% of the way up its 52-week range

02Price

How the price has moved

30-day price-10.09%
30 days ago$553.11 → $497.32today
1-year performance+1.1%
$459$505$552OctNovDecJanFebMarAprMayJunJulAugSep
AMP · 52 weeks$492.00 → $497.32
03Decision

What to weigh before acting

decision support3 sources

What Matters Now

  • Credit quality, deposit stability, and how management navigates the rate cycle usually drive the next rerating.
  • AMP is valued near its sector range at 12.0x earnings versus 12.5x for peers, so the next move likely needs a real earnings or guidance catalyst.
  • AMP carries a beta of 1.13, which means the stock should be judged on how it affects total portfolio swings, not just on standalone upside.
  • AMP remains in a bearish short-term trend and sits 13.1% below its high, which raises the bar for any thesis that depends on fast multiple expansion.

Portfolio Use Case

  • AMP is more useful for investors comparing conviction names inside financial services than for someone looking for a passive “set and forget” holding.
  • The risk profile looks balanced enough for a diversified core-plus portfolio, provided the position size reflects sector concentration.
  • The stock becomes more useful when paired with an explicit catalyst watchlist, because sector sentiment can shift quickly around policy, rates, or pipeline news.

What Would Change the View

  • A recovery in price alone would not be enough to improve the view; the thesis needs confirmation from improving business or valuation signals.
  • Volatility is already above the sector norm, so even a correct long-term thesis can be painful if the position size is too aggressive.
  • The view would need revisiting if peers such as JPM, BAC, WFC start winning the marginal flow or posting cleaner operating momentum.

Methodology

  • Price, market cap, beta, yield, and liquidity fields for AMP come from Yahoo Finance quote and summary data.
  • 30-day volatility is calculated from recent daily returns and annualized using a 252-trading-day convention.
  • Sector context uses stored benchmark averages for Financial Services so each page compares the ticker against a stable peer baseline rather than against the whole market.
  • Peer comparisons use the Portfolio Terminal coverage set and highlight nearby listed alternatives such as JPM, BAC, WFC.

Sources

  • Yahoo Finance quote dataopen →

    Live quote, valuation, beta, yield, and volume fields used for AMP. Last refresh: Sep 29, 2026, 10:33 PM.

  • Portfolio Terminal methodologyopen →

    Explains how analytics, refresh cadence, and portfolio interpretation work across the product.

  • Peer set and coverage context

    Comparative context for this page is anchored around nearby tracked names such as JPM, BAC, WFC.

Editorial note · Written by Portfolio Terminal Research. Template updated 3/24/2026, market data refreshed 9/29/2026, 10:33:02 PM. Built for research and portfolio monitoring, not personalized investment advice.
04About

What Ameriprise Financial does

profile

Ameriprise Financial, Inc., together with its subsidiaries, operates as a diversified financial services company in the United States and internationally. The company offers financial planning and advice services to individual and institutional clients. It operates through Advice & Wealth Management, Asset Management, Retirement & Protection Solutions, Corporate & Other segments. 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…

Employees

13,600

Industry

Asset Management

Headquarters

Minneapolis, United States

05Analyst Consensus

What analysts expect

AMP carries a buy consensus from 11 analysts, with an average price target of $579.45 versus $497.32 today (+16.5%). Targets are estimates and can move quickly after earnings.

Consensus

Buy

Average target

$579.45

$489.00 to $645.00

Upside to target

+16.5%

Analysts covering

11

Consensus aggregated by Yahoo Finance. Targets are estimates, not forecasts.

06Financial Strength

How the business is doing

AMP generated $19.84B in trailing revenue (11.6% year over year), with a 19.9% net margin, and $2.90B of free cash flow, supported by $6.00B of net cash.

Revenue (TTM)

$19.84B

Net margin

19.9%

Revenue growth

11.6%

Free cash flow

$2.90B

Gross margin

54.9%

Operating margin

30.7%

Return on equity

63.4%

Total cash

$10.30B

Total debt

$4.30B

Earnings growth

11.7%

07Annual Financials

The numbers, year by year

annual financials4 years
Fiscal yearRevenueGross profitOperating incomeNet incomeEPSFree cash flow
2025$18.48B——$3.56B$36.85$8.16B
2024$17.26B——$3.40B$33.67$6.42B
2023$15.54B——$2.56B$24.18$4.50B
2022$14.26B——$3.15B$28.29$4.22B
Company filings via Yahoo Finance. Refreshed 9/29/2026.
08Next Earnings

When it reports next

Next report

Oct 29, 2026

EPS estimate

$11.79

Revenue estimate

$5.07B

Estimates aggregated by Yahoo Finance. Dates move and estimates change until the report lands.

09Sector

How it sits in financial services

Sector covering banks, insurance, asset management, and fintech companies.

versus the sectorAMP vs average
metricAMPsectorverdict
price / earnings12.0x12.5x↓ 4%
beta1.131.10more volatile
dividend yield1.37%2.50%below average
30-day volatility27.9%24%higher risk
10Peers

The companies it competes with

AMP beside the financial services names it is usually measured against.

competitors4 companies
companypricemarket cap
Ameriprise Financial logoAMP$497.32$43.93B
JPMorgan Chase & Co. logoJPM$334.98$890.44BBank of America logoBAC$54.96$384.32BWells Fargo & Company logoWFC$80.48$243.37B
Any row opens that company's own analysis.
11Technicals

What the chart is saying

Slipped under its 50-day average inside a longer uptrend.

weakening
amp · daily
50-day 545200-day 493resistancesupport
4507030RSI 14 · 32volR 544R 514S 489S 475497AprMayJunJulAugSep
Daily candles · AMPLevels are zones where the price turned at least twice in the last year. Last close $497.32 on 2026-09-29.

RSI (14)

32

neutral zone

vs 50-day

−8.8%

avg $545.42

vs 200-day

+0.8%

avg $493.15

From 1-year high

−13.1%

high $572.56 · 2026-08-14

levels and the read25% annualized vol · 30d
resistance$544.26turned here 4×+9.4%
resistance$514.16turned here 3×+3.4%
support$488.55turned here 6×−1.8%
support$475.46turned here 4×−4.4%
  • Price is 8.8% below its 50-day average and 0.8% above its 200-day.
  • The 50-day crossed above the 200-day on 2026-07-23 (a “golden cross”).
  • RSI at 32 is neither stretched nor washed out.
  • The nearest ceiling is $514.16 (+3.4%), the nearest floor $488.55 (-1.8%).

A description of the chart, not advice. Indicators describe what the price has done; none of them knows what it does next.

12Questions

Questions people ask about it

questions5 answered

Is AMP a good buy right now?

Ameriprise Financial trades at 12.0x earnings. This is below market average, potentially undervalued. Current risk level is Medium based on 27.9% volatility.

Does AMP pay dividends?

Yes, Ameriprise Financial offers a dividend yield of 1.37%. That is roughly $6.81 per share a year.

How volatile is AMP?

With 30-day annualized volatility of 27.9% and beta of 1.13, AMP is classified as Medium risk. Expect larger swings than the broader market during volatile periods.

What is the analyst price target for AMP?

The average analyst price target for Ameriprise Financial (AMP) is $579.45 based on 11 analyst estimates, about 16.5% above the current price of $497.32. The published range runs from $489.00 to $645.00.

How much revenue does AMP generate?

Ameriprise Financial reported $19.84B in trailing twelve-month revenue. Revenue growth is running at 11.6% year over year. Net margin sits at 19.9%. Figures are aggregated from company filings by Yahoo Finance and refresh on an hourly cadence.

Compare AMP with anything

Five years side by side: what $10,000 became, how far each fell, whether they move together.

Ameriprise Financial logo