IPG: Interpublic Group of Cos., Inc.

Stock

About

Interpublic Group of Cos., Inc. engages in the provision of marketing, communications, and business transformation services. It operates through the following segments: Media, Data, and Engagement Solutions, Integrated Advertising and Creativity Led Solutions, and Specialized Communications and Experiential Solutions. The Media, Data, and Engagement Solutions segment provides global media and communications services, digital services and products, advertising and marketing technology, e-commerce services, data management and analytics, strategic consulting, and digital brand experience. The Integrated Advertising and Creativity Led Solutions segment offers advertising, corporate and brand identity services, and strategic consulting. The Specialized Communications and Experiential Solutions segment includes global public relations and other specialized communications services, events, sports and entertainment marketing, and strategic consulting. The company was founded on September 18, 1930 and is headquartered in New York, NY.

Year Founded
1930
Employees
57,400
Sector
Communication Services
HQ Location
New York City, NY

Current Value

$27.62

1 Year Return

-$2.71
-8.94%

Key Details

Market Cap

$10.30B

P/E Ratio

13.06

1Y Stock Return

-8.50%

1Y Revenue Growth

0.06%

Dividend Yield

3.80%

Price to Book

2.8

Strategies that include
IPG

Medium risk

$14,000

US 500

growth
balanced
growth income

The original passive investment vehicle is generally considered to comprise of 500 of the largest stocks traded within the US. Double's take on this exposes a client to the US stock market in a diversified way without any expense ratio.

Top Sector

Information Technology

Top Holdings

Return

+15.05%

Expense Ratio

0.00%

Holdings

502

High risk

$3,000

Communication Services

speculation
maximum growth

This strategy tracks the communication services sector, including companies involved in telecommunications, media, and internet services. Capturing trends in digital communication, entertainment, and connectivity, it reflects the evolving landscape of communication technologies.

Top Sector

Communication Services

Top Holdings

Return

+11.67%

Expense Ratio

0.00%

Holdings

108

Medium risk

$3,300

Equal Weighted US 500

growth
balanced
growth income

This index provides equal-weight exposure to the top 500 companies in the US, offering a unique approach compared to traditional market-cap weighted indexes. With an aim to reduce concentration risk by allocating equal amounts to each constituent, it potentially benefits from smaller companies' outperformance.

Top Sector

Industrials

Top Holdings

Return

+11.97%

Expense Ratio

0.00%

Holdings

502

Low risk

$3,000

Republican Trading

capital preservation
balanced
income

This strategy seeks to broadly invest in stocks purchased or sold by Republican members of the US Congress and their families.

Top Sector

Information Technology

Top Holdings

Return

+6.16%

Expense Ratio

0.00%

Holdings

158

Medium risk

$33,000

US 1000

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.

Top Sector

Information Technology

Top Holdings

Return

+15.03%

Expense Ratio

0.00%

Holdings

995

Medium risk

$3,000

USA Quality Factor

growth
balanced
growth income

This strategy invests in US large- and mid-cap stocks with a focus on financial quality. Companies are selected and weighted based on their return on equity, earnings growth stability, and financial leverage, emphasizing strong fundamentals. This approach offers investors exposure to companies with proven profitability and sound financial health.

Top Sector

Information Technology

Top Holdings

Return

+15.50%

Expense Ratio

0.00%

Holdings

123

Create your own
strategy with

IPG
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Stock's related to
IPG

Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
OMC83.23%$19.13B+24.62%2.87%
EWBC62.86%$14.45B+71.21%2.12%
CE60.42%$7.89B-44.64%3.89%
TROW59.93%$26.20B+21.60%4.19%
HRI59.74%$6.12B+73.45%1.21%
ZION59.23%$8.69B+71.47%2.83%
TKR58.34%$5.15B+0.82%1.84%
UCB57.77%$3.91B+35.08%2.86%
WBS57.76%$10.28B+38.44%2.67%
GGG57.64%$14.83B+9.01%1.16%
VBTX57.51%$1.58B+53.68%2.75%
ESNT57.50%$5.93B+16.81%1.96%
BANC57.46%$2.70B+28.94%2.49%
CNOB57.31%$1.03B+41.32%2.65%
IBTX57.24%$2.62B+67.52%2.41%
AUB57.08%$3.75B+32.11%3.13%
AMG57.07%$5.53B+38.61%0.02%
CADE57.05%$6.82B+53.20%2.64%
FHB57.04%$3.43B+39.70%3.89%
OZK56.99%$5.44B+17.21%3.30%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
AMED<0.01%$2.95B-3.95%0.00%
NARI0.07%$2.98B-11.66%0.00%
OXBR-0.11%$19.05M+178.18%0.00%
DAO0.17%$159.28M+25.62%0.00%
QXO0.21%$6.51B-35.95%0.00%
NEUE0.30%$40.93M-34.13%0.00%
OCX0.30%$42.93M-36.09%0.00%
CTRE-0.38%$5.82B+36.14%3.72%
PRPO0.39%$9.10M-13.65%0.00%
PRT0.46%$48.72M-16.56%10.33%
GAN0.52%$83.39M+21.19%0.00%
DELL0.65%$99.00B+84.60%1.24%
AVAL0.69%$791.37M-4.11%7.14%
SYPR-0.72%$32.23M-26.32%0.00%
LPTH-0.73%$62.27M+33.05%0.00%
DOGZ-0.82%$614.77M+1,372.26%0.00%
STG-0.86%$35.67M+7.92%0.00%
ALAR-0.87%$89.09M+158.08%0.00%
NNVC0.93%$19.66M+25.69%0.00%
NTZ0.98%$47.64M-30.94%0.00%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
HIHO-19.11%$8.63M0.00%6.12%
LLY-13.80%$692.74B+23.14%0.71%
MCK-13.60%$78.15B+35.51%0.42%
CYCN-13.36%$4.77M-16.19%0.00%
PGR-12.59%$149.10B+57.29%0.45%
PULM-12.57%$19.83M+202.98%0.00%
HUSA-8.53%$16.69M-11.56%0.00%
TCTM-7.80%$8.10M-42.99%0.00%
MNOV-6.85%$93.19M+2.15%0.00%
FLXS-6.09%$301.86M+215.00%1.02%
CHD-5.85%$27.18B+19.50%1.03%
CBOE-5.77%$21.46B+15.84%1.11%
RLMD-4.59%$89.92M+1.36%0.00%
CPSH-4.50%$20.70M-40.13%0.00%
NHTC-4.42%$61.83M+0.19%14.81%
COR-4.33%$47.48B+21.20%0.86%
TPST-3.99%$37.75M-77.59%0.00%
ACGL-3.72%$36.00B+16.84%0.00%
BTCT-3.53%$42.61M+353.33%0.00%
INSM-3.49%$13.19B+202.50%0.00%

ETF's related to
IPG

Correlated ETFs

NameCorrelationAUMExpense Ratio
SMOT68.82%$374.04M0.49%
IUSV68.56%$19.83B0.04%
DES68.02%$2.13B0.38%
RDIV67.91%$842.58M0.39%
IJR67.86%$90.05B0.06%
MOAT65.88%$15.73B0.46%
NUMV65.86%$374.24M0.31%
REGL65.77%$1.65B0.4%
RWJ65.71%$1.75B0.39%
FLQM65.10%$1.25B0.3%
RPV65.06%$2.09B0.35%
RSPA65.00%$273.87M0%
DSTL64.94%$2.02B0.39%
PEY64.72%$1.24B0.53%
SYLD64.43%$1.29B0.59%
IWS64.43%$13.85B0.23%
SDVY64.41%$7.17B0.6%
IVOV64.36%$964.95M0.15%
MDYV64.16%$3.25B0.15%
SDOG64.13%$1.24B0.36%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
XHLF0.18%$874.27M0.03%
IBTE-0.25%$1.70B0.07%
HDRO0.30%$164.26M0.3%
MINT0.80%$11.62B0.35%
UNG1.23%$908.80M1.06%
CLOI-1.30%$715.40M0.4%
ULST1.70%$535.47M0.2%
DBO-1.98%$217.57M0.77%
GBIL2.28%$5.60B0.12%
CORN-2.60%$61.12M0.2%
FMF2.73%$244.61M0.95%
IVOL2.85%$548.70M1.02%
JUCY-2.90%$324.29M0.6%
COMT3.04%$829.06M0.48%
XONE3.19%$548.88M0.03%
GSG3.42%$914.42M0.75%
BILZ4.04%$563.02M0.14%
PDBC4.07%$4.40B0.59%
SOYB4.23%$27.32M0.22%
DBC4.85%$1.39B0.87%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
BTAL-48.36%$388.04M1.43%
VIXY-33.81%$195.31M0.85%
USDU-21.02%$201.97M0.5%
TAIL-20.09%$67.98M0.59%
EQLS-15.98%$76.08M1%
UUP-14.22%$309.25M0.77%
CTA-8.82%$350.27M0.78%
BSCO-8.37%$2.35B0.1%
WEAT-7.59%$120.27M0.28%
DBE-6.92%$50.13M0.77%
KRBN-6.81%$242.47M0.85%
KCCA-6.79%$220.51M0.87%
AGZD-6.65%$142.76M0.23%
KMLM-6.29%$353.87M0.9%
HIGH-5.95%$302.78M0.51%
XBIL-5.32%$637.70M0.15%
JUCY-2.90%$324.29M0.6%
CORN-2.60%$61.12M0.2%
DBO-1.98%$217.57M0.77%
CLOI-1.30%$715.40M0.4%

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