Invesco Bond Income Plus (BIPS.L) Stock Price

Invesco Bond Income Plus Price

LSE·CLOSED
0.02GBP-0.0000 (-0.04 %)
Market closed

Revenue has compounded at 21.1% per year over the past 9 years to 31.37 M GBP. Earnings per share have grown at 12.7% per year over the last 9 years. Invesco Bond Income Plus's net margin stands at 84.7%, down from 86.2% several years earlier. Invesco Bond Income Plus currently offers a dividend yield of about 674.49%. The payout ratio is around 84% of earnings. The dividend has grown at 0.4% per year over the past 9 years.

Invesco Bond Income Plus stock price

Volume
Ex-Dividend
Details

Stock Price

How to Read This Chart

This chart tracks the historical stock price of Invesco Bond Income Plus over time. You can switch between daily, weekly, and monthly views and select custom time ranges — from a single day to the full available history. Use the toggle to view price changes in absolute currency terms or as a percentage change relative to the starting date.

Total Return vs. Price Return

The "Total Return" toggle includes reinvested dividends on top of the pure price movement. This is critical because dividends can account for a significant portion of long-term returns. Historically, roughly 40 % of the S&P 500's total return has come from dividends. Always compare total return when evaluating a stock's real performance against a benchmark.

Intraday Price Data

When viewing a one-day time frame, the chart displays real-time intraday price movements. This is useful for observing how Invesco Bond Income Plus stock reacts to market openings, earnings releases, or breaking news throughout the trading session.

What to Look For

Look for long-term trends (sustained upward or downward movements over months and years), support and resistance levels (price zones where the stock repeatedly bounces or reverses), and volatility (how much the price fluctuates day to day). Comparing Invesco Bond Income Plus's price chart to a market index like the S&P 500 can reveal whether the stock is outperforming or underperforming the broader market.

Invesco Bond Income Plus Stock Price History
DateInvesco Bond Income Plus Price
7/24/20260.02 GBP
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7/31/20251.71 GBP
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Access this data via the Eulerpool API

Invesco Bond Income Plus Revenue, EBIT, Net Income

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  • Max

Revenue
EBIT
Net Income
Details
Date
Revenue
EBIT
Net Income
Jan 1, 2017
16.75 M GBP
14.89 M GBP
14.87 M GBP
Jan 1, 2018
-4.70 M GBP
-6.53 M GBP
-6.53 M GBP
Jan 1, 2019
24.77 M GBP
22.88 M GBP
22.86 M GBP
Jan 1, 2020
14.34 M GBP
12.36 M GBP
12.36 M GBP
Jan 1, 2021
15.81 M GBP
13.35 M GBP
13.32 M GBP
Jan 1, 2022
-31.75 M GBP
-34.37 M GBP
-34.62 M GBP
Jan 1, 2023
36.48 M GBP
33.78 M GBP
31.82 M GBP
Jan 1, 2024
31.37 M GBP
28.30 M GBP
26.58 M GBP

Invesco Bond Income Plus Income Statement, Balance Sheet, Cash Flow Statement

Last updated Jul 28, 2026, 11:49 AM
 
REVENUEM GBP
REVENUE GROWTH%
GROSS MARGIN%
GROSS INCOMEM GBP
EBITM GBP
EBIT MARGIN%
NET INCOMEM GBP
NET INCOME GROWTH%
DIV.GBP
DIV. GROWTH%
SHARESM
2015201620172018201920202021202220232024
5.0020.0016.00-4.0024.0014.0015.00-31.0036.0031.00
300.00-20.00-125.00-700.00-41.677.14-306.67-216.13-13.89
80.0095.0093.75150.0095.8385.7186.67106.4594.4493.55
4.0019.0015.00-6.0023.0012.0013.00-33.0034.0029.00
4.0018.0014.00-6.0022.0012.0013.00-34.0033.0028.00
80.0090.0087.50150.0091.6785.7186.67109.6891.6790.32
3.0018.0014.00-6.0022.0012.0013.00-34.0031.0026.00
500.00-22.22-142.86-466.67-45.458.33-361.54-191.18-16.13
0.110.100.100.100.100.100.110.110.120.12
-9.0910.009.09
83.7188.9093.6696.2198.07101.55142.94168.80177.39194.77
Details

Income Statement Key Figures

Revenue and Revenue Growth

Revenue is the starting point of every income statement — it measures the total sales Invesco Bond Income Plus generates from its core business. Revenue growth (expressed as year-over-year percentage change) is one of the most important indicators of business momentum. Sustained growth above 10 % annually is generally considered strong, while declining revenue is a serious warning sign that demands investigation.

Gross Margin

Gross margin = (Revenue − Cost of Goods Sold) ÷ Revenue. It reveals what percentage of each dollar of revenue Invesco Bond Income Plus retains after direct production costs. High gross margins (above 50 %) are typical of asset-light businesses like software and brands, while capital-intensive industries like manufacturing often operate below 30 %. Compare Invesco Bond Income Plus's gross margin to industry peers and track it over time to spot improving or deteriorating pricing power.

EBIT and EBIT Margin

EBIT measures operating profit — what remains after subtracting all operating expenses (including R&D, sales, and administrative costs) from gross profit. The EBIT margin shows this as a percentage of revenue. Because it excludes interest and taxes, EBIT allows fair comparisons between companies with different debt levels and tax jurisdictions. A rising EBIT margin indicates improving operational efficiency.

Net Income and Earnings Per Share (EPS)

Net income is the company's final profit after all expenses, interest, and taxes. Dividing net income by the number of shares outstanding gives you EPS — the single most influential metric in stock valuation. Consistent EPS growth is the primary driver of long-term stock price appreciation. Always check whether EPS growth comes from genuine profit improvement or from share buybacks reducing the share count.

Shares Outstanding

The total number of shares Invesco Bond Income Plus has issued. A declining share count (through buybacks) boosts EPS and signals management confidence. A rising share count (through stock issuance) dilutes existing shareholders. Always monitor this number alongside EPS to get the full picture of per-share value creation.

Analyst Estimates

The projected figures represent consensus estimates from professional analysts. Compare these forecasts against Invesco Bond Income Plus's historical growth rates to assess whether expectations are realistic. A company that consistently beats consensus estimates tends to see its stock price rewarded over time, while repeated misses erode investor confidence.

Invesco Bond Income Plus stock margins

The Invesco Bond Income Plus margin analysis displays the gross margin, EBIT margin, as well as the profit margin of Invesco Bond Income Plus. The EBIT margin (EBIT/sales) indicates the percentage of sales that remains as operating profit. The profit margin shows the percentage of sales that remains for Invesco Bond Income Plus.
  • 3 Years

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  • Max

Gross margin
EBIT margin
Profit margin
Details
Date
Gross margin
EBIT margin
Profit margin
Jan 1, 2017
91.52 %
88.87 %
88.77 %
Jan 1, 2018
129.51 %
138.80 %
138.80 %
Jan 1, 2019
94.28 %
92.37 %
92.32 %
Jan 1, 2020
90.31 %
86.19 %
86.19 %
Jan 1, 2021
87.96 %
84.43 %
84.26 %
Jan 1, 2022
105.85 %
108.26 %
109.05 %
Jan 1, 2023
94.82 %
92.61 %
87.24 %
Jan 1, 2024
93.05 %
90.19 %
84.73 %

Invesco Bond Income Plus Stock Revenue, EBIT, Earnings per Share

The Invesco Bond Income Plus earnings per share therefore indicates how much revenue Invesco Bond Income Plus has generated per share in a given period. The earnings before interest and taxes per share shows how much of the operating profit corresponds to each share. The earnings per share indicates how much of the profit belongs to each share.
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  • Max

Revenue per Share
EBIT per share
Earnings per Share
Details
Date
Revenue per Share
EBIT per share
Earnings per Share
Jan 1, 2017
0.18 GBP
0.16 GBP
0.16 GBP
Jan 1, 2018
-0.05 GBP
-0.07 GBP
-0.07 GBP
Jan 1, 2019
0.25 GBP
0.23 GBP
0.23 GBP
Jan 1, 2020
0.14 GBP
0.12 GBP
0.12 GBP
Jan 1, 2021
0.11 GBP
0.09 GBP
0.09 GBP
Jan 1, 2022
-0.19 GBP
-0.20 GBP
-0.21 GBP
Jan 1, 2023
0.21 GBP
0.19 GBP
0.18 GBP
Jan 1, 2024
0.16 GBP
0.15 GBP
0.14 GBP

Invesco Bond Income Plus business model & stock analysis

Invesco Bond Income Plus Ltd is a financial services company specializing in bond investments. It was founded in 1992 and is headquartered in London. Invesco Bond Income Plus is part of the Invesco Group, a global asset manager with assets under management of over $1.2 trillion. The company's business model focuses on serving risk-seeking investors with a wide range of investment strategies and products. Their goal is to achieve attractive returns for investors while minimizing risk. Invesco Bond Income Plus specializes in various sectors, including corporate bonds, emerging market bonds, high-yield bonds, European government bonds, and convertible bonds. They have assembled a team of experienced investment professionals to conduct thorough analyses and evaluations to make investment decisions. They consider both quantitative and qualitative aspects, such as the economic and political situation of specific countries and regions, the creditworthiness of companies, and general market trends. In addition to conventional bond portfolios, Invesco Bond Income Plus also offers Exchange Traded Funds (ETFs) that invest in bonds, providing investors with broad and cost-effective investment options. They also offer tailored investment strategies or funds for wealthy and institutional investors. Despite facing challenges such as the 2008 financial crisis and Brexit, Invesco Bond Income Plus has achieved long-term solid growth and established its reputation as a reliable investment partner. The company's expertise in bond investments and the extensive experience of its staff are among its strengths, which will sustain its success in the future. In summary, Invesco Bond Income Plus is a specialized financial services company focused on bonds, offering a diverse range of investment strategies and products. Based in London and part of the Invesco Group, the company has extensive experience in asset management and strives to achieve high returns for its investors through comprehensive market analysis and evaluation.

Invesco Bond Income Plus SWOT Analysis

Strengths

Invesco Bond Income Plus Ltd has several strengths that contribute to its success:

  • Strong track record of delivering consistent returns
  • Experienced and knowledgeable portfolio management team
  • Well-diversified bond portfolio with exposure to various industries
  • Strong relationships with key institutional investors
  • Robust risk management processes in place

Invesco Bond Income Plus Ltd also faces some weaknesses that may pose challenges:

  • Relatively high expense ratio compared to competitors
  • Dependence on interest rate fluctuations, which can impact bond prices
  • Limited international exposure may hinder potential growth opportunities
  • Not as well-known as some larger competitors in the market

Despite its weaknesses, Invesco Bond Income Plus Ltd can capitalize on the following opportunities:

  • Increasing investor interest in fixed income securities
  • Growing demand for sustainable and socially responsible investing options
  • Potential for expansion into emerging markets
  • Participation in government and corporate bond issuances
  • Development of innovative bond strategies tailored to specific investor needs

Invesco Bond Income Plus Ltd should also be aware of the following threats:

  • Increasing competition from other asset management firms
  • Economic downturns impacting bond market performance
  • Rising interest rates reducing bond prices
  • Regulatory changes affecting investment strategies and operations
  • Uncertainty in global economic conditions

Weaknesses

Invesco Bond Income Plus Ltd also faces some weaknesses that may pose challenges:

  • Relatively high expense ratio compared to competitors
  • Dependence on interest rate fluctuations, which can impact bond prices
  • Limited international exposure may hinder potential growth opportunities
  • Not as well-known as some larger competitors in the market

Despite its weaknesses, Invesco Bond Income Plus Ltd can capitalize on the following opportunities:

  • Increasing investor interest in fixed income securities
  • Growing demand for sustainable and socially responsible investing options
  • Potential for expansion into emerging markets
  • Participation in government and corporate bond issuances
  • Development of innovative bond strategies tailored to specific investor needs

Invesco Bond Income Plus Ltd should also be aware of the following threats:

  • Increasing competition from other asset management firms
  • Economic downturns impacting bond market performance
  • Rising interest rates reducing bond prices
  • Regulatory changes affecting investment strategies and operations
  • Uncertainty in global economic conditions

Opportunities

Despite its weaknesses, Invesco Bond Income Plus Ltd can capitalize on the following opportunities:

  • Increasing investor interest in fixed income securities
  • Growing demand for sustainable and socially responsible investing options
  • Potential for expansion into emerging markets
  • Participation in government and corporate bond issuances
  • Development of innovative bond strategies tailored to specific investor needs

Invesco Bond Income Plus Ltd should also be aware of the following threats:

  • Increasing competition from other asset management firms
  • Economic downturns impacting bond market performance
  • Rising interest rates reducing bond prices
  • Regulatory changes affecting investment strategies and operations
  • Uncertainty in global economic conditions

Threats

Invesco Bond Income Plus Ltd should also be aware of the following threats:

  • Increasing competition from other asset management firms
  • Economic downturns impacting bond market performance
  • Rising interest rates reducing bond prices
  • Regulatory changes affecting investment strategies and operations
  • Uncertainty in global economic conditions

Invesco Bond Income Plus Eulerpool Fair Value

Details

Fair Value Estimate

What Is Fair Value?

Fair value is an estimate of what a stock is truly "worth" based on its financial fundamentals, independent of the current market price. If the calculated fair value is above the current share price, the stock may be undervalued — and vice versa. This chart shows three different fair value approaches so you can cross-check them against each other.

Earnings-Based Fair Value

Calculated by multiplying the current earnings per share (EPS) by the average historical P/E ratio over a selected multi-year period. The smoothing over several years filters out temporary spikes or dips. If this fair value exceeds the market price, it suggests the stock is cheap relative to its earning power.

Example: Fair Value (Earnings) 2022 = EPS 2022 × Average P/E 2019–2021

Revenue-Based Fair Value

Derived by multiplying revenue per share by the average historical price-to-sales ratio. This method is particularly useful for companies with volatile or temporarily depressed earnings, as revenue tends to be more stable than profits. It answers: "At what price has the market historically valued each dollar of this company's sales?"

Example: Fair Value (Revenue) 2022 = Revenue per Share 2022 × Average P/S 2019–2021

Dividend-Based Fair Value

Calculated by dividing the dividend per share by the average historical dividend yield. This approach is most relevant for mature, consistently dividend-paying companies. If the resulting fair value is higher than the current price, it implies the stock offers a better yield than its historical average.

Example: Fair Value (Dividend) 2022 = Dividend per Share 2022 ÷ Average Yield 2019–2021

How to Use This Chart

When all three fair value lines converge above the current price, it strengthens the case that the stock is undervalued. When they diverge, investigate why — it may indicate a structural shift in margins, payout policy, or growth rate. The forward estimates on the right extend the analysis using projected fundamentals, helping you assess whether the current price already reflects future growth expectations.

Invesco Bond Income Plus historical P/E ratio, EBIT multiple, and P/S ratio

Invesco Bond Income Plus annual returns

Details

Annual Return

What This Chart Shows

This chart breaks down 's total annual return into two components: price return (gains or losses from stock price movement) and dividend return (income received from dividend payments). Together, they represent the total return an investor would have earned in each calendar year.

Price Return

Price return measures the percentage change in 's stock price from January 1st to December 31st of each year. Positive bars indicate the stock appreciated; negative bars show a decline. This is the component most investors focus on, but it tells only part of the story — especially for dividend-paying stocks.

Dividend Return

Dividend return represents the income generated from dividends paid during the year, expressed as a percentage of the starting stock price. While it may seem small in any single year (typically 1–4 % for established companies), dividends compound significantly over decades and have historically contributed roughly 40 % of total stock market returns.

What to Look For

Examine how many years showed positive vs. negative returns to gauge consistency. A stock with mostly positive years and small drawdowns suggests lower risk. Also compare 's annual returns to a benchmark index — consistently outperforming the market is a hallmark of a strong investment. Pay attention to the worst years: understanding downside risk is just as important as chasing upside potential.

Invesco Bond Income Plus shares outstanding

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  • Max

Number of stocks
Details
Date
Number of stocks
Jan 1, 2017
93.66 M Stocks
Jan 1, 2018
96.21 M Stocks
Jan 1, 2019
98.07 M Stocks
Jan 1, 2020
101.55 M Stocks
Jan 1, 2021
142.94 M Stocks
Jan 1, 2022
168.80 M Stocks
Jan 1, 2023
177.39 M Stocks
Jan 1, 2024
194.77 M Stocks

Invesco Bond Income Plus stock splits

In Invesco Bond Income Plus's history, there have been no stock splits.

Invesco Bond Income Plus Dividend History

23 years of dividend payments

YearAnnual DividendYoY ChangePayments
20263.09GBPYTD
Jan 15, 20260.03GBP 0.0%1/2
Apr 23, 20263.06GBP 9,900.0%2/2
20250.12GBP 6.5%
Jan 16, 20250.03GBP 6.5%1/4
Apr 17, 20250.03GBP 0.0%2/4
Jul 17, 20250.03GBP 0.0%3/4
Oct 16, 20250.03GBP 0.0%4/4
20240.12GBP 0.0%
20230.12GBP 3.4%
20220.11GBP 6.0%
20210.11GBP 5.0%
20200.10GBP 0.0%
20190.10GBP 0.0%
20180.10GBP 0.0%
20170.10GBP 2.7%

Invesco Bond Income Plus dividend payout ratio

  • 3 Years

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  • Max

Payout ratio
Details
Date
Payout ratio
Jan 1, 2017
62.97 %
Jan 1, 2018
-147.28 %
Jan 1, 2019
42.88 %
Jan 1, 2020
82.17 %
Jan 1, 2021
112.66 %
Jan 1, 2022
-54.24 %
Jan 1, 2023
64.10 %
Jan 1, 2024
84.25 %
Price targets and forecasts for Invesco Bond Income Plus are not yet available.

Invesco Bond Income Plus shareholder structure

% Name
9.00580%
INVESCO Asset Management Limited
INVESCO Asset Management Limited
5.22670%
Charles Stanley & Co. Limited
Charles Stanley & Co. Limited
1.32668%
BlackRock Investment Management (UK) Ltd.
BlackRock Investment Management (UK) Ltd.
1.10389%
Consistent Unit Trust Management Company Limited
Consistent Unit Trust Management Company Limited
0.60261%
Vanguard Global Advisers LLC
Vanguard Global Advisers LLC
0.30242%
Legal & General Investment Management Ltd.
Legal & General Investment Management Ltd.

Invesco Bond Income Plus Executives and Management Board

TS

Mr. Timothy Scholefield

Independent Non-Executive Chairman of the Board

Compensation34,250.00 GBP
HM

Ms. Heather MacCallum

(57)

Independent Non-Executive Director

Compensation28,000.00 GBP
CD

Ms. Caroline Dutot

Independent Non-Executive Director

Compensation23,750.00 GBP
TQ

Mr. Tom Quigley

Independent Non-Executive Director

Compensation23,750.00 GBP
KB

Mrs. Kate Bolsover

Senior Independent Non-Executive Director

Compensation15,290.00 GBP

Frequently asked questions about Invesco Bond Income Plus

The business model of Invesco Bond Income Plus Ltd primarily focuses on generating income through investing in a diversified portfolio of fixed income securities. As a closed-end management investment company, it primarily invests in investment-grade corporate bonds, government and agency securities, mortgage-backed securities, and asset-backed securities. By actively managing its portfolio, Invesco Bond Income Plus aims to provide a consistent stream of income and potentially capitalize on market opportunities. The company's investment strategies are designed to meet the objectives of income generation and capital preservation for its shareholders.