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AMP

Ameriprise Financial, Inc. NYQ · AMP

$527.87 -5.34 (-1.00%)
Blow-off · +2.31σ Hot zone Grade A
Mkt cap $47.5B
P/E 13.2
Day $523.69 – $538.93
52wk $422.37 – $550.18
Avg vol 0.7M
Beta 1.16
Div yld 1.29%
Next earnings 2026-07-23

Quick read

Plain English

Ameriprise Financial: A Diversified Asset Manager

Ameriprise Financial, Inc. is a large financial services company that provides financial planning and wealth management advice to individual and institutional clients across the United States and internationally. Operating through several business segments including Advice & Wealth Management, Asset Management, and Retirement & Protection Solutions, the company serves as a one-stop shop for clients seeking assistance with investments, retirement planning, and financial guidance.

The stock recently closed at $527.87, down 1.0% for the day. Over the past year, shares have traded in a range between $422.37 and $550.18, placing the current price near the upper portion of that band. Technical indicators show the stock is in what's described as a "blow-off" zone, sitting 2.31 average true ranges above its 21-day moving average, which suggests recent upward momentum has pushed the price well beyond its short-term trend line. The RSI(2) reading of 53.6 indicates relatively neutral short-term momentum conditions.

A plain-English snapshot built from the data on this page — not investment advice. Always do your own research.

Today's read

Grading desk →

KC3 upper (deep stretch), +2.31 ATR from EMA21 — shooting star

Long
score 16 · tech 16 / 80 · support 0 / 20
above KC1 lower, +2.31 ATR from EMA21 · no notable pattern
  • · Aligned with strong uptrend (strong tailwind)
How this grade was earned
total 16 pts
Cycle position 6
Market fit 10

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

Short A
score 60 · tech 60 / 80 · support 0 / 20
KC3 upper (deep stretch), +2.31 ATR from EMA21 · shooting star
ℹ️ Deep stretch (KC3): stop is set wider to avoid a whipsaw, so the reward/risk reads lower (~1R) by design — not a worse trade.
  • · KC3 upper stretch — deepest mean-reversion tier
  • · Shooting star — long upper wick rejection
  • · RSI hook from extreme overbought (70)
How this grade was earned
total 60 pts
Cycle position 30
Candle signal 15
Momentum 15

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

Candle-size grades

tap a size to open that chart
15mC30m1h4h1DA

132-Day Trend Zones

Full chart →
21 EMA +1 ATR +2 ATR −2 ATR
O H L C

Under the hood

On the latest daily bar, momentum is running hot (RSI 70, overbought territory), the trend is strong (ADX 27), and volume is about normal (0.8×). On the business side, revenue is growing 9% year over year and the business keeps about 18 cents of every sales dollar as free cash.

Latest-bar indicator readings behind the grade — display-only, they don't move the letter.

Momentum · RSI
70
0–100 · <30 oversold
Trend strength · ADX
27
>25 = strong trend
Volume vs avg
0.80×
1× = average
Stretch from avg
+2.3 ATR
− below · + above
Zone touches
3
tests of this zone
Suggested hold
5–60
bars (≈ days)
Fundamentals at a glance

Company fundamentals for context — display-only, they don't move the grade.

Revenue growth
+9.0%
year over year
Free-cash-flow margin
18.2%
cash kept per $ of sales
Debt / equity
0.56
lower = less leveraged
P/E ratio
12.6
price ÷ yearly profit

Valuation & accounting

Valuation desk →

Our cash-flow model pegs fair value near $883.78 (fair range $617–$884); today's price leaves a +43% cushion below that estimate. The model's verdict is “Deep value” and accounting quality screens as Adequate. Model estimates only — do your own due diligence.

Intrinsic (DCF)
$883.78
Fair-value range
$616.71 – $883.78
Margin of safety
+43%
Verdict
Deep value
Accounting quality Adequate
  • ✓ More cash than debt
  • ✓ Positive retained earnings
  • ✓ Gross margin 57% (pricing power)
  • ✓ Net margin 20%
  • ⚠ Debt/equity 28.15 (fragile)

Price implies ~-1% growth (vs trailing rev yoy). Model estimate — do your own due diligence.

Key statistics

All statistics →

AMP is a $47.5 billion company, priced at 13× last year's earnings.

Mkt cap $47.5B
P/E ttm 13.2
Fwd P/E 10.6
Beta 1.16
Day range $523.69 – $538.93
52w range $422.37 – $550.18
Avg vol 0.7M
RSI(2) 53.6
ROE 66.9%
Net mgn 20.2%
FCF mgn 17.4%
Debt/Eq 0.56
Div yld 1.29%
Sector Financial Services
Industry Asset Management
Next earn 2026-07-23
52-week range · today's price
$422.37$550.18

More on AMP

Options idea

See more →
CALL $530 2026-08-21
$18.13
ITM PUT $550 2026-08-21 · 34d
~$31.12
OTM PUT $500 2026-08-21 · 34d
~$7.43

ITM tracks the stock · OTM is cheaper / more leverage. Model-priced — verify the live chain. As of 15h ago (2026-07-18 18:02 UTC).

Earnings

See more →
Last reported
2026-04-23
EPS (act / est)
11.26 / 10.21
Surprise
+10.2%
Next report
2026-07-23

About

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 segment…