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Jupiter Fund Management PLC
Cierre anterior
152,40 GBX
Intervalo diario
151,20 GBX - 155,60 GBX
Intervalo anual
67,90 GBX - 214,50 GBX
Cap. bursátil
806,16 M GBP
Volumen medio
1,61 M
Relación precio-beneficio
8,54
Rentabilidad por dividendo
2,88 %
Bolsa de valores principal
LON
Noticias sobre los mercados
Datos financieros
Estado de resultados
Ingresos
Ingresos netos
| (GBP) | dic 2025info | Cambio interanual |
|---|---|---|
Ingresos | 138,55 M | 45,54 % |
Gastos operativos | 82,60 M | 19,36 % |
Ingresos netos | 39,45 M | 113,24 % |
Margen de beneficio neto | 28,47 | 46,53 % |
Beneficios por acción | — | — |
EBITDA | 56,55 M | 104,89 % |
Tipo impositivo efectivo | 24,43 % | — |
Balance general
Activos totales
Responsabilidades totales
| (GBP) | dic 2025info | Cambio interanual |
|---|---|---|
Efectivo y a corto plazo | 403,00 M | -19,96 % |
Activos totales | 1242,60 M | -1,11 % |
Responsabilidades totales | 336,50 M | -20,36 % |
Patrimonio total | 906,10 M | — |
Acciones en circulación | 501,93 M | — |
Precio-valor contable | 0,84 | — |
Rentabilidad económica | 11,26 % | — |
Retorno sobre capital | 14,80 % | — |
Flujo de caja
Variación neta del flujo de caja
| (GBP) | dic 2025info | Cambio interanual |
|---|---|---|
Ingresos netos | 39,45 M | 113,24 % |
Efectivo de operaciones | 19,40 M | 7,78 % |
Efectivo de inversión | 46,80 M | 1.456,52 % |
Efectivo de financiación | -7,05 M | -151,46 % |
Variación neta del flujo de caja | 61,60 M | 127,31 % |
Flujo de caja libre | 44,30 M | 118,83 % |
Información sobre la empresa
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
Director ejecutivo
Fundación
1985
Sitio web
Empleados
442