Jupiter Fund Management PLC (GBP)
JUP
Overview
Key Information
Legal Documents
Financials

Overview

SectorFinancial Services
IndustryAsset Management
Day Range3.28 | 3.36
52-Wk Range2.74 | 4.35
Last Close3.29
Mkt Cap (m)1,506.75
Dividend yield5.19%
ISINGB00B53P2009
Volume1,881,705
Exchange VenueLON

Company Profile

Jupiter Fund Management PLC is an fund manager, engaged in managing equity investments on behalf of retail, institutional and private client investors across products, including UK and offshore mutual funds, segregated mandates and investment trusts.

Key Information
Price/Earning11.35
Price/Book2.53
Price/Sales3.50
P/CF15.12
Rev Growth (3 year avg)4.50
EPS Growth (3 year avg)0.03
Operating Margin % 40.83
Net Margin %31.05
Return on Equity22.61
Debt/Equity-

Legal Documents

Annual Report
en 31/12/2018

Financials

Income Statement
GBP201320142015201620172018
Revenue (m)389388404402460461
Operating Income (m)107134165166193188
Net Income (m)89126132136155143
Basic EPS0.210.280.290.300.350.32
Avg. Diluted Shares Outstanding (m)442463463460460459
Balance Sheet
GBP201320142015201620172018
Current Assets (m)328397416435518512
Non Current Assets (m)400368371367372368
Total Assets (m)727765787801890880
Current Liabilities (m)180164174182240240
Total Liabilities (m)------
Total Equity (m)514586603610640624
Cash Flows
GBP201320142015201620172018
Operating Cash Flows (m)122123156147195171
Capital Expenditure (m)-3-3-9-4-5-3
Figures are quoted in GBP unless stated otherwise
0.03 (0.76%)
£
3.32
Last Price