The Interpublic Group of Companies Inc (IPG)

Industry Advertising Agencies

This stock can be held in an Investment ISA and an Investment Account
Sell

$24.84

Buy

$25.52

arrow-up$0.09 (+0.36%)

The Interpublic Group of Companies Inc is an advertising and marketing service company. Its services include consumer advertising, digital marketing, communications planning & media buying, public relations & specialized communications disciplines.
Prices updated at 15 May 2025, 21:49 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
9,048m9,714m10,221m9,061m10,241m10,928m10,889m10,692m
1,214m1,378m1,492m1,352m1,853m1,845m1,814m1,820m
938m1,009m1,120m1,002m1,447m1,484m1,483m1,430m
10.3710.3810.9611.0614.1313.5813.6213.38
554m619m656m351m953m938m1,098m690m
1,089m1,164m1,356m844m1,677m1,711m1,898m1,538m
Sales, General and administrative119m167m94m59m122m87m67m131m
Interest expenses91m123m199m192m171m168m226m230m
Provision for income taxes271m199m205m8m252m318m291m334m
Operating expenses276m369m372m349m406m361m332m389m
Income before taxes841m838m878m361m1,222m1,269m1,408m1,049m
Net income available to common shareholders554m619m656m351m953m938m1,098m690m
1.491.611.70.92.422.42.861.84
Net interest income-71m-101m-165m-163m-143m-111m-85m-78m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)1.461.591.680.892.392.372.851.83
Free cash flow per share0.51551.38892.84363.19144.91051.55691.9092.4288
Book value/share5.25425.57336.37986.9658.04318.80889.71810.0048
Debt equity ratio0.5813251.5294171.5135631.504941.2718661.1760081.0486231.047243

Balance sheet

20172018201920202021202220232024
Current assets7,464m8,183m8,771m9,368m11,232m10,325m10,950m10,606m
Current liabilities7,678m8,124m9,420m9,581m10,890m9,983m10,331m9,758m
Total capital3,487m6,053m5,548m5,811m6,435m6,519m6,860m6,718m
Total debt1,373m3,734m5,023m5,176m4,799m4,532m4,671m4,255m
Total equity2,201m2,393m2,776m2,895m3,526m3,648m3,943m3,797m
Total non current liabilities--------
Loans1,286m3,660m2,772m2,916m2,909m2,871m2,918m2,921m
Total assets12,695m15,620m17,752m18,043m19,909m18,845m19,267m18,326m
Total liabilities--------
Cash and cash equivalents791m673m1,192m2,509m3,270m2,545m2,386m2,187m
Common stock383m384m387m391m394m387m379m372m

Cash flow

20172018201920202021202220232024
Cash at beginning of period1,100m798m677m1,196m2,512m3,272m2,553m2,395m
Cash dividends paid-280m-322m-363m-398m-428m-457m-479m-496m
726m388m1,331m1,680m1,880m431m375m913m
Investments (gains) losses-196m-2,491m-162m-216m-185m-430m-85m-151m
798m677m1,196m2,512m3,272m2,553m2,395m2,196m
Net income--------
882m565m1,529m1,847m2,076m609m555m1,055m
-156m-177m-198m-167m-195m-178m-179m-142m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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