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Jupiter Fund Management
Dernière clôture
74,10 GBX
Variation sur la journée
74,00 GBX - 76,10 GBX
Plage sur l'année
64,70 GBX - 91,30 GBX
Capitalisation boursière
404,82 M GBP
Volume moyen
1,57 M
Ratio cours/bénéfices
6,19
Rendement (dividendes)
7,14 %
Place boursière principale
LON
Actualités
Données financières
Compte de résultat
Chiffre d'affaires
Résultat net
(GBP) | déc. 2024info | Variation Y/Y |
---|---|---|
Chiffre d'affaires | 95,20 M | 1,38 % |
Charges d'exploitation | 63,50 M | 8,27 % |
Résultat net | 18,50 M | 199,73 % |
Marge bénéficiaire nette | 19,43 | 198,38 % |
Bénéfice par action | — | — |
EBITDA | 33,30 M | -23,45 % |
Taux d'imposition effectif | 25,40 % | — |
Bilan
Total des actifs
Total du passif
(GBP) | déc. 2024info | Variation Y/Y |
---|---|---|
Trésorerie/Invest. court terme | 503,50 M | 12,92 % |
Total des actifs | 1,26 Md | 4,05 % |
Total du passif | 422,50 M | 1,05 % |
Total des capitaux propres | 834,00 M | — |
Actions en circulation | 522,58 M | — |
Ratio cours/valeur comptable | 0,46 | — |
Rentabilité des actifs | 6,31 % | — |
Retour sur capitaux | 8,57 % | — |
Flux de trésorerie
Variation nette en trésorerie
(GBP) | déc. 2024info | Variation Y/Y |
---|---|---|
Résultat net | 18,50 M | 199,73 % |
Trésorerie (opérations) | 18,00 M | -19,64 % |
Trésorerie (invest.) | -3,45 M | 87,52 % |
Trésorerie (financement) | 13,70 M | 616,98 % |
Variation nette en trésorerie | 27,10 M | 443,04 % |
Flux de trésorerie dispo. | 23,81 M | -9,46 % |
À propos
Jupiter Fund Management is a UK fund management group, managing equity and bond investments for private and institutional investors. The company manages assets across a wide range of international and UK based mutual funds, investment companies and institutional mandates, as well as providing wealth management services. The Company offers a variety of equity portfolios specialising in markets such as the UK, Europe, Asia and other emerging European nations, as well as multi-manager funds and specialist thematic investments such as absolute return funds, socially responsible investment funds and global financial funds. It also has a growing fixed interest franchise, with a focus on investing in high grade corporate bonds, strategic bonds and convertibles. The company is listed on the London Stock Exchange and is a constituent of the FTSE 250 Index. Wikipedia
Date de fondation
1985
Site Web
Employés
492