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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. » Mais em 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. » Mais em 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. » Mais em de.investing.com

Em 2026, Jupiter Fund Management já distribuiu € 0,14 em dividendos. A última distribuição ocorreu em setembro.

Dados financeiros da empresa

No último trimestre, Jupiter Fund Management registou receitas de € 271,29 mi e um ganho líquido de € 28,93 mi
(EUR) junho de 2026
YoY
Receitas 271,29 mi -
Ganho bruto 236,71 mi -
Ganho líquido 28,93 mi -
EBITDA 48,98 mi -

Dados fundamentais

Métrica Valor
Capitalização bolsista
€ 1,13 bi
Número de ações
501,15 mi
Máximo/mínimo de 52 semanas
€ 2,26 - € 1,50
Rentabilidade de dividendos
7,16%
Dividendos TTM
€ 0,14
Beta
1,30
PER (PE Ratio)
7,79
PEG (PEG Ratio)
0,09
P/VC (PB Ratio)
0,95
P/V (PS Ratio)
1,51

Perfil da empresa

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.

Nome
Jupiter Fund Management
CEO
Matthew Charles Beesley
Sede London, gl
Reino Unido
Site
Setor
Finanças
Indústria
Serviços financeiros
Entrada em bolsa
16/06/2010
Colaboradores 451

Símbolos de ticker

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