Reported Q: Q4 2024 Rev YoY: +12.8% EPS YoY: +196.7% Move: +0.56%
Ameriprise Financial Inc
A4S.DE
€403.45 0.56%
Exchange XETRA Sector Financial Services Industry Asset Management
Q4 2024
Published: Feb 20, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for A4S.DE

Reported

Report Date

Feb 20, 2025

Quarter Q4 2024

Revenue

4.50B

YoY: +12.8%

EPS

10.58

YoY: +196.7%

Market Move

+0.56%

Previous quarter: Q3 2024

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Earnings Highlights

  • Revenue of $4.50B up 12.8% year-over-year
  • EPS of $10.58 increased by 196.7% from previous year
  • Gross margin of 100.0%
  • Net income of 1.07B
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A4S.DE
Company A4S.DE

Executive Summary

Ameriprise Financial reported a strong fourth quarter of 2024, delivering USD 4.501 billion in revenue and USD 1.071 billion in net income, translating to diluted EPS of USD 10.58 and basic EPS of USD 10.80. The quarter benefited from robust profitability, with operating income of USD 1.352 billion and an operating margin of ~30.0%, while net income margin stood at ~23.8%. Year-over-year improvements were modest on revenue (+12.75%) but extraordinary on net income (+184.1%), reflecting favorable mix, efficient cost management, and a resilient fee-based business in a volatile market backdrop. Cash generation remained positive, yielding free cash flow of USD 325 million for the quarter, although total cash outlays from financing activity and share repurchases weighed on net cash, resulting in a negative net change in cash of USD 1.89 billion for the period and ending cash of USD 9.489 billion.

Management reiterated a disciplined approach to capital deployment and ongoing focus on returning capital to shareholders, supported by a strong balance sheet and ample liquidity. The company maintains a fortress-like liquidity profile, with USD 60.675 billion in cash and short-term investments, and a net debt position of negative USD 3.05 billion, underscoring significant balance sheet strength. While explicit forward targets were not provided in the data, the results imply continued profitability resilience and the potential for moderate fee-based revenue growth, barring a material market disruption. Investors should monitor AUM dynamics, expense discipline, regulatory costs, and macro conditions that influence advisory and asset-management fee income.

Key Performance Indicators

Revenue
Increasing
4.50B
QoQ: 2.37% | YoY: 12.75%
Gross Profit
Increasing
4.50B
1.00% margin
QoQ: 2.37% | YoY: 12.75%
Operating Income
Increasing
1.35B
QoQ: 109.61% | YoY: 173.68%
Net Income
Increasing
1.07B
QoQ: 109.59% | YoY: 184.08%
EPS
Increasing
10.80
QoQ: 112.18% | YoY: 196.70%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 0.03 +0.0% View
Q2 2025 4,375.00 10.73 +3.7% View
Q1 2025 4,354.00 5.83 +5.0% View
Q4 2024 4,501.00 10.58 +12.8% View
Q3 2024 4,397.00 5.00 +12.0% View