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JUP.L

Jupiter Fund Management

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  • jupiter fund management starts share buyback programme of up to £30m

    Jupiter Fund Management has announced a share buyback programme of up to £30 million or up to 3% of the issued share capital, expected to run until 8 October 2026. The aim is to reduce the issued share capital; all repurchased ordinary shares with a nominal value of 2 pence will be cancelled. Deutsche Bank, London, will execute the purchases as principal via the London Stock Exchange; the transactions will be carried out in accordance with applicable market rules and the previously granted shareholder authority. » Plus sur de.investing.com


  • Jupiter Asset Management boosts AUM significantly, fee margins under pressure

    Jupiter Asset Management reported AUM growth of 19% to 54 billion GBP for H2 2025, driven by the acquisition of CCLA (+15 billion GBP) and high performance fees of 120 million GBP. Despite the asset growth, net management fees fell and the cost-income ratio at 82% is above target, signaling margin pressure. The stock rose about 6% after the earnings call, while management expects fees margins to fall further to around 63 basis points in 2026 but sees additional revenue growth from strategic initiatives. » Plus sur de.investing.com


  • Jupiter Fund Management records first net inflows in eight years and AUM rises to £54.0bn

    Jupiter Fund Management reports its first positive net inflows in eight years for 2025 of £1.3bn and AUM growth of 19% to £54.0bn, supported by substantially improved fund performance. Net revenue rose 18% to £431m, adjusted pre-tax profit increased 42% to £138.3m, with performance fees of £120.3m having a strong impact on profit. The acquisition of CCLA adds £15bn of AUM and is expected to deliver synergies, while management warns of continued fee pressure and more volatile performance fees; the dividend was cut to 4.4p. » Plus sur de.investing.com

En 2026, Jupiter Fund Management a déjà versé 0,14 € de dividendes. Le dernier versement a eu lieu en septembre.

Données financières de l'entreprise

Au dernier trimestre, Jupiter Fund Management a réalisé un chiffre d'affaires de 271,29 M € et un bénéfice net de 28,93 M €
(EUR) juin 2026
YoY
Chiffre d'affaires 271,29 M -
Bénéfice brut 236,71 M -
Bénéfice net 28,93 M -
EBITDA 48,98 M -

Données fondamentales

Indicateur Valeur
Capitalisation boursière
1,12 Md €
Nombre d'actions
501,15 M
Plus haut/bas sur 52 semaines
2,24 € - 1,49 €
Rendement du dividende
7,24 %
Dividendes TTM
0,14 €
Bêta
1,30
Ratio P/E
7,83
Ratio PEG
0,09
Ratio P/B
0,95
Ratio P/S
1,52

Profil de l'entreprise

Jupiter Fund Management Plc ist ein staatlicher Vermögensverwalter. Das Unternehmen verwaltet Investmentfonds, Hedgefonds, kundenorientierte Portfolios und Multi-Manager-Produkte für seine Kunden. Das Unternehmen investiert in die öffentlichen Aktienmärkte in Großbritannien, Europa und den globalen Schwellenländern. Darüber hinaus investiert das Unternehmen in festverzinsliche Wertpapiere, Dachfondsprodukte, Hedgefonds und Absolute-Return-Fonds. Jupiter Fund Management Plc wurde 1985 gegründet und hat seinen Sitz in London, Vereinigtes Königreich.

Nom
Jupiter Fund Management
PDG
Matthew Charles Beesley
Siège social London, gl
Royaume-Uni
Site web
Secteur
Finance
Industrie
Services financiers
Introduction en bourse
16/06/2010
Employés 451

Symboles boursiers

Bourse Symbole
London Stock Exchange
JUP.L
Pnk
JFHHF
Frankfurt
4JF.F
London
JUP.L
München
4JF.MU
Düsseldorf
4JF.DU

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