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Capitalization 418M 548M 743M P/E ratio 2024 *
8.1x
P/E ratio 2025 * 9.34x
Enterprise value 208M 273M 370M EV / Sales 2024 *
0.6x
EV / Sales 2025 * 0.53x
Free-Float
73.61%
Yield 2024 *
6.36%
Yield 2025 * 5.3%
More valuation ratios * Estimated data
Dynamic Chart
1 day-1.80%
1 week-4.33%
Current month-4.33%
1 month+8.36%
3 months+4.34%
6 months-9.62%
Current year-12.53%
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1 week
81.28
Extreme 81.2849
87.00
1 month
74.60
Extreme 74.6
87.00
Current year
71.10
Extreme 71.1
93.95
1 year
71.10
Extreme 71.1
101.70
3 years
71.10
Extreme 71.1
270.00
5 years
71.10
Extreme 71.1
437.80
10 years
71.10
Extreme 71.1
638.80
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Director TitleAgeSince
Chief Executive Officer 49 -
Director of Finance/CFO 51 19-09-01
Chief Investment Officer 66 05-12-31
Manager TitleAgeSince
Director/Board Member 55 16-07-21
Director/Board Member 67 17-08-31
Director of Finance/CFO 51 19-09-01
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Change 5d. change 1-year change 3-years change Capi. ($)
-1.80%-4.33%-12.62%-69.15%549M
-0.83%-3.68%+21.70%+6.87%105B
-1.86%-6.08%+85.04%+84.30%103B
-2.55%-6.11%+29.72%+71.83%27.44B
-0.79%+0.58%+3.92%-18.56%17.32B
-1.64%-3.24%+23.80%-17.65%14.88B
-2.21%-7.23%+15.09%-24.25%13.27B
-0.65%-0.41%+64.62%+35.00%11.24B
-1.85%-5.48%-26.22%-38.88%10B
-2.36%-8.67%+33.80%+8.85%9.04B
Average -1.66%-4.43%+23.88%+3.84% 31.19B
Weighted average by Cap. -1.49%-4.65%+42.48%+33.76%
See all sector performances

Financials

2024 *2025 *
Net sales 348M 457M 620M 340M 446M 605M
Net income 50.75M 66.56M 90.3M 47.04M 61.69M 83.7M
Net Debt -210M -275M -373M -237M -311M -422M
More financial data * Estimated data
Logo Jupiter Fund Management Plc
Jupiter Fund Management plc is an asset management company. The Company’s principal activity is to act as a holding company for a group of investment management companies. It offers a number of investment strategies within four core asset classes: equities, fixed income, multi-asset, and alternatives. It offers a range of actively managed investment products through two principal channels, which consists of retail, wholesale, and investment trusts; and institutional. Its product types are categorized into pooled funds and segregated mandates. Pooled funds, which include both mutual funds and investment trusts, are established by the Company and its subsidiaries. In contrast, segregated mandates are established in accordance with the requirements of a specific institutional investor. It operates principally in the United Kingdom with international operating subsidiaries in Ireland, Hong Kong, Singapore, the United States, Switzerland and Luxembourg, which has branches across Europe.
Employees
522
More about the company
Date Price Change Volume
24-09-06 81.70 p -1.80% 761,812
24-09-05 83.20 p -0.12% 383,277
24-09-04 83.30 p -0.83% 1,172,437
24-09-03 84.00 p -2.21% 845,394
24-09-02 85.90 p +0.59% 801,707

Delayed Quote London S.E., September 06, 2024 at 11:35 am

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Trading Rating
Investor Rating
ESG Refinitiv
B
More Ratings
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
10
Last Close Price
0.8170GBP
Average target price
0.8780GBP
Spread / Average Target
+7.47%
Consensus

Annual profits - Rate of surprise

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